Financial Institutions Management: A Risk Management Approach 9th Edition
- Publisher: MANAGEMENT SCIENCES
- Availability: In Stock
- SKU: 46148
- Number of Pages: 912
Rs.1,790.00
Rs.2,595.00
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Title: Financial Institutions Management: A Risk Management Approach (9th 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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Advanced Risk Management Techniques – Provides in-depth coverage of market risk, credit risk, liquidity risk, operational risk, and interest rate risk, with a focus on the latest industry practices.
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Real-World Examples and Case Studies – Connects theory to practice with up-to-date case studies, practical examples, and insights from the global financial industry.
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Regulatory Updates – Covers the latest financial regulations, including Basel III and other international standards, for comprehensive understanding.
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Quantitative Approach – Features advanced risk measurement techniques, including Value-at-Risk (VaR), stress testing, and scenario analysis for effective risk management.
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User-Friendly Structure – Clear explanations, detailed diagrams, review questions, and problem sets ensure effective learning and self-assessment.
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Writer ✤ Anthony Saunders (Author), Marcia Cornett (Author)