Financial Institutions Management: A Risk Management Approach 8th Edition by Anthony Saunders
- Publisher: MANAGEMENT SCIENCES
- Availability: In Stock
- SKU: 29415
- Number of Pages: 912
Rs.1,790.00
Rs.2,495.00
Tags: 8th edition. , Anthony Saunders , banking , banking regulation , Basel Accords , credit risk , finance , finance textbook , financial compliance , financial institutions , Financial Institutions Management , financial regulations , financial risk management , liquidity risk , Marcia Cornett , market risk , operational risk , risk management textbook , Saunders Cornett finance , scenario analysis , stress testing , value-at-risk
Title: Financial Institutions Management: A Risk Management Approach (8th Edition)
Author: Anthony Saunders, Marcia Cornett
Binding: Paperback
Paper Quality: Black White Paper
Category: Finance / Banking / Risk Management / Business Studies
Recommended For: Finance students, banking professionals, financial analysts, risk managers, and individuals preparing for competitive exams in finance.
Key Points:
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Comprehensive Coverage of Risk Management – Explores all key aspects of risk management in financial institutions, including market risk, credit risk, liquidity risk, and operational risk.
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Balanced Theoretical and Practical Approach – Combines academic theory with real-world examples and case studies, making it a practical guide for students and professionals.
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Regulatory Frameworks Explained – Covers the latest international financial regulations, including Basel Accords, for a better understanding of global financial compliance.
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Risk Management Techniques – Features detailed explanations of value-at-risk (VaR), stress testing, scenario analysis, and other quantitative risk management tools.
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User-Friendly Structure – Organized with clear explanations, visual diagrams, review questions, and problem sets for effective learning and self-assessment.
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Writer ✤ Anthony Saunders (Author), Marcia Cornett (Author)