Financial Institutions Management ISE (11TH)

個数:

Financial Institutions Management ISE (11TH)

  • 提携先の海外書籍取次会社に在庫がございます。通常約2週間で発送いたします。
    重要ご説明事項
    1. 納期遅延や、ご入手不能となる場合が若干ございます。
    2. 複数冊ご注文の場合は、ご注文数量が揃ってからまとめて発送いたします。
    3. 美品のご指定は承りかねます。

    ●3Dセキュア導入とクレジットカードによるお支払いについて
  • 【入荷遅延について】
    世界情勢の影響により、海外からお取り寄せとなる洋書・洋古書の入荷が、表示している標準的な納期よりも遅延する場合がございます。
    おそれいりますが、あらかじめご了承くださいますようお願い申し上げます。
  • ◆画像の表紙や帯等は実物とは異なる場合があります。
  • ◆ウェブストアでの洋書販売価格は、弊社店舗等での販売価格とは異なります。
    また、洋書販売価格は、ご注文確定時点での日本円価格となります。
    ご注文確定後に、同じ洋書の販売価格が変動しても、それは反映されません。
  • 製本 Paperback:紙装版/ペーパーバック版/ページ数 962 p.
  • 言語 ENG
  • 商品コード 9781266138225

Full Description

Saunders and Cornett's Financial Institutions Management: A Risk Management Approach provides an innovative approach that focuses on managing return and risk in modern financial institutions. The central theme is that the risks faced by financial institutions managers and the methods and markets through which these risks are managed are becoming increasingly similar whether an institution is chartered as a commercial bank, a savings bank, an investment bank, or an insurance company. Although the traditional nature of each sector's product activity is analyzed, a greater emphasis is placed on new areas of activities such as asset securitization, off-balance-sheet banking, and international banking.

Contents

PART ONE: INTRODUCTION
Chapter 1: Why Are Financial Institutions Special? 
Chapter 2: Financial Services: Depository Institutions 
Chapter 3: Financial Services: Finance Companies 
Chapter 4: Financial Services: Securities Firms and Investment Banks 
Chapter 5: Financial Services: Mutual Fund and Hedge Fund Companies
Chapter 6: Financial Services: Insurance Companies 
Chapter 7: Risks of Financial Institutions 

PART TWO: MEASURING RISK
Chapter 8: Interest Rate Risk I 
Chapter 9: Interest Rate Risk II 
Chapter 10: Credit Risk: Individual Loan Risk 
Chapter 11: Credit Risk: Loan Portfolio and Concentration Risk 
Chapter 12: Liquidity Risk 
Chapter 13: Foreign Exchange Risk
Chapter 14: Sovereign Risk 
Chapter 15: Market Risk
Chapter 16: Off-Balance-Sheet Risk 
Chapter 17: Technology and Other Operational Risks 
Chapter 18: Risk of Digital Disruption and Fintech 

PART THREE: MANAGING RISK
Chapter 19: Liability and Liquidity Management 
Chapter 20: Deposit Insurance and Other Liability Guarantees 
Chapter 21: Capital Adequacy 
Chapter 22: Product and Geographic Expansion 
Chapter 23: Futures and Forwards 
Chapter 24: Options, Caps, Floors, and Collars
Chapter 25: Swaps 
Chapter 26: Loan Sales 
Chapter 27: Securitization 

最近チェックした商品