曬書市集
Financial Institutions Management: A Risk Management Approach (11版)

Financial Institutions Management: A Risk Management Approach (11版)

  • 定價:1780
  • 優惠價:951691

分期價:(除不盡餘數於第一期收取) 分期說明

3期0利率每期563  
  • 運送方式:
  • 臺灣與離島
  • 海外
  • 可配送點:台灣、蘭嶼、綠島、澎湖、金門、馬祖
  • 可取貨點:台灣、蘭嶼、綠島、澎湖、金門、馬祖
  • 台北、新北、基隆宅配快速到貨(除外地區)
載入中...
  • 分享
 

內容簡介

  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.
 

作者介紹

作者簡介

Anthony Saunders


  現職:New York University

Marcia Millon Cornett

  現職:Bentley University

Otgontsetseg (Otgo) Erhemjamts

  現職:University of San Franciso
 

目錄

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

PART II: MEASURING RISK
Ch 8 Interest Rate Risk I
Ch 9 Interest Rate Risk II
Ch10 Credit Risk: Individual Loan Risk
Ch11 Credit Risk: Loan Portfolio and Concentration Risk
Ch12 Liquidity Risk
Ch13 Foreign Exchange Risk
Ch14 Sovereign Risk
Ch15 Market Risk
Ch16 Off-Balance-Sheet Risk
Ch17 Technology and Other Operational Risks
Ch18 Risk of Digital Disruption and Fintech

PART III: MANAGING RISK
Ch19 Liability and Liquidity Management
Ch20 Deposit Insurance and Other Liability Guarantees
Ch21 Capital Adequacy
Ch22 Product and Geographic Expansion
Ch23 Futures and Forwards
Ch24 Options, Caps, Floors, and Collars
Ch25 Swaps
Ch26 Loan Sales
Ch27 Securitization
 

詳細資料

  • ISBN:9781266138225
  • 叢書系列:金融機構管理
  • 規格:平裝 / 931頁 / 20.2 x 25.5 x 2.8 cm / 普通級 / 單色印刷 / 11版
  • 出版地:台灣

最近瀏覽商品

 

相關活動

  • 【考試用書、教科書】聯經電子書展|單本85折、三本79折|聯經出版50週年:閱讀‧我們相遇
 

購物說明

若您具有法人身份為常態性且大量購書者,或有特殊作業需求,建議您可洽詢「企業採購」。 

退換貨說明 

會員所購買的商品均享有到貨十天的猶豫期(含例假日)。退回之商品必須於猶豫期內寄回。 

辦理退換貨時,商品必須是全新狀態與完整包裝(請注意保持商品本體、配件、贈品、保證書、原廠包裝及所有附隨文件或資料的完整性,切勿缺漏任何配件或損毀原廠外盒)。退回商品無法回復原狀者,恐將影響退貨權益或需負擔部分費用。 

訂購本商品前請務必詳閱商品退換貨原則 

  • 鏡文學全書系
  • 飲食保健書展
  • 華文創作展