Financial Institutions Management: A Risk Management Approach 9th Edition
- Publisher: MANAGEMENT SCIENCES
- Availability: In Stock
- SKU: 46148 R1 0504
- Number of Pages: 912
Rs.1,990.00
Rs.2,595.00
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📖 Title Name: Financial Institutions Management: A Risk Management Approach (9th Edition)
✍️ Author: Anthony Saunders, Marcia Millon Cornett
📦 Quality: White Paper Pakistan Print
🔹 Introduction:
Financial Institutions Management: A Risk Management Approach (9th Edition) by Anthony Saunders and Marcia Millon Cornett provides a comprehensive understanding of how financial institutions operate and manage various types of risk. The book focuses on modern risk management practices used by banks and financial organizations, offering practical insights into asset management, regulatory frameworks, and financial stability in the global economy.
🔑 Key Points:
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Explains the major risks faced by financial institutions including credit, market, liquidity, and operational risk.
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Provides detailed coverage of asset-liability management and risk measurement techniques.
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Discusses financial regulations and the role of central banks in maintaining stability.
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Includes real-world examples and case studies from global financial markets.
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Helps students understand modern banking operations and financial risk strategies.
🕌 Conclusion:
This book is an essential resource for finance and banking students who want to understand the complexities of financial institutions and risk management. Its practical approach and updated financial insights make it valuable for both academic study and professional development.