AnyBook4Less.com
Find the Best Price on the Web
Order from a Major Online Bookstore
Developed by Fintix
Home  |  Store List  |  FAQ  |  Contact Us  |  
 
Ultimate Book Price Comparison Engine
Save Your Time And Money

Risk Management and Capital Adequacy

Please fill out form in order to compare prices
Title: Risk Management and Capital Adequacy
by Reto R. Gallati
ISBN: 0-07-140763-4
Publisher: McGraw-Hill Trade
Pub. Date: 21 March, 2003
Format: Hardcover
Volumes: 1
List Price(USD): $70.00
Your Country
Currency
Delivery
Include Used Books
Are you a club member of: Barnes and Noble
Books A Million Chapters.Indigo.ca

Average Customer Rating: 5 (1 review)

Customer Reviews

Rating: 5
Summary: A handbook for all Risk Professionals
Comment: This book offers comprehensive coverage of market, credit and operational risks in all aspects. It covers the technical modeling and its interplay with the external regulations by which an integrated risk approach is governed. It includes a critical review of the current regulatory environment and analyses the different proposals for the next Bank of International Settlements (BIS) accord, now scheduled for 2005.

Attention is given to different measurement approaches of market, credit and operational risks as well as the key assumptions and conditions for an integrated approach as required in the coming Basel Accord. More specifically, it provides a framework for the design, operation, viewing the policies, methodologies, data collection and infrastructure use to support risk management.

I very much enjoyed reading this book. It covers with great competence all the aspects of risk management. The emphasis placed on risk control and the building blocks for a successful integration of all three risk types is highlighted in the light of recent events.

I recommend this book to all academics and professionals and also encourage its use in graduate course in risk management bank management.

Similar Books:

Title: Financial Risk Management: A Practitioner's Guide to Managing Market and Credit Risk (with CD-ROM)
by Steve L. Allen
ISBN: 0471219770
Publisher: John Wiley & Sons
Pub. Date: 14 February, 2003
List Price(USD): $89.95
Title: The Fundamentals of Risk Measurement
by Christopher Marrison
ISBN: 0071386270
Publisher: McGraw-Hill Trade
Pub. Date: 27 June, 2002
List Price(USD): $44.95
Title: Risk Management and Value Creation in Financial Institutions
by Gerhard Schroeck
ISBN: 0471254762
Publisher: John Wiley & Sons
Pub. Date: 20 September, 2002
List Price(USD): $79.95
Title: Value-at-Risk: Theory and Practice
by Glyn Holton
ISBN: 0123540100
Publisher: Academic Press
Pub. Date: March, 2003
List Price(USD): $90.00
Title: Managing Bank Risk: An Introduction to Broad-Base Credit Engineering
by Morton Glantz
ISBN: 0122857852
Publisher: Academic Press
Pub. Date: 16 December, 2002
List Price(USD): $79.95

Thank you for visiting www.AnyBook4Less.com and enjoy your savings!

Copyright� 2001-2021 Send your comments

Powered by Apache