IIBF Risk Management

ISBN 13: 9781403926661

Risk Management

 
9781403926661: Risk Management
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Risk management has assumed paramount importance amongst banks in order to protect them against the adverse effects of uncertainty caused by fluctuations in interest rates, exchange rates, etc. The advent of new financial instruments in the indian banking market has added a new dimension to the identification, measurement, management and mitigation of risks. This book explains the fundamental concepts that underpin financial risk management and asset liability management. It provides an in-depth look at many aspects of financial risks including market, credit, liquidity and operational risks. The book also has modules on capital management in the light of basel ii and profitability strategies to improve the bottom line of banks.

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Indian Institute of Banking and Finance
Published by Macmillan Publishers India Ltd (2008)
ISBN 10: 1403926662 ISBN 13: 9781403926661
New Softcover Quantity Available: > 20
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Book Description Macmillan Publishers India Ltd, 2008. Softcover. Condition: New. 5th or later edition. Risk management has assumed paramount importance amongst banks in order to protect them against the adverse effects of uncertainty caused by fluctuations in interest rates, exchange rates, etc. The advent of new financial instruments in the indian banking market has added a new dimension to the identification, measurement, management and mitigation of risks. This book explains the fundamental concepts that underpin financial risk management and asset liability management. It provides an in-depth look at many aspects of financial risks including market, credit, liquidity and operational risks. The book also has modules on capital management in the light of basel ii and profitability strategies to improve the bottom line of banks. Printed Pages: 345. Seller Inventory # 109966

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Indian Institute of Banking and Finance
Published by Macmillan Publishers India Ltd (2008)
ISBN 10: 1403926662 ISBN 13: 9781403926661
New Softcover Quantity Available: > 20
Seller:
A - Z Books
(New Delhi, DELHI, India)
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Book Description Macmillan Publishers India Ltd, 2008. Softcover. Condition: New. 5th or later edition. Risk management has assumed paramount importance amongst banks in order to protect them against the adverse effects of uncertainty caused by fluctuations in interest rates, exchange rates, etc. The advent of new financial instruments in the indian banking market has added a new dimension to the identification, measurement, management and mitigation of risks. This book explains the fundamental concepts that underpin financial risk management and asset liability management. It provides an in-depth look at many aspects of financial risks including market, credit, liquidity and operational risks. The book also has modules on capital management in the light of basel ii and profitability strategies to improve the bottom line of banks. Printed Pages: 345. Seller Inventory # 109966

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