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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Financial Institutions Management: A Risk Management Approach, 9th Edition by Anthony Saunders and Marcia Cornett offers a comprehensive and modern approach to understanding the management of financial institutions. This edition emphasizes the management of risks in banking and financial markets, focusing on strategies for assessing and mitigating risk exposure across various financial products and institutions. With a focus on both theory and practical application, the book discusses the intricacies of banking operations, investment strategies, asset-liability management, regulatory frameworks, and the impact of global economic forces. The ninth edition reflects the latest developments in financial markets and regulatory changes, making it a valuable resource for students and professionals in finance.
Key Points:
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Risk Management Focus: Emphasizes the importance of risk management in financial institutions, covering credit risk, interest rate risk, market risk, and operational risk.
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Comprehensive Coverage: Offers in-depth discussions on banking operations, asset-liability management, financial products, and market dynamics.
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Global Perspective: Addresses global financial markets and the regulatory environment, ensuring a broader understanding of international financial operations.
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Modern Banking Challenges: Analyzes contemporary issues such as financial crises, technological advancements, and evolving regulatory frameworks.
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Practical Application: Provides practical examples and case studies to illustrate the real-world application of financial management and risk assessment techniques.
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Quantitative Tools: Introduces the use of quantitative methods in managing risk, including financial modeling and forecasting techniques.
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Updated Content: Reflects the latest changes in financial regulations, banking technology, and risk management strategies.
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Asset-Liability Management: Offers insights into the critical process of managing assets and liabilities to ensure financial stability and profitability.
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Investment Strategy: Discusses investment techniques, portfolio management, and the role of investment banks in global finance.
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Regulatory Environment: Examines the impact of government regulations, such as the Dodd-Frank Act, and how they shape financial institution management.
Conclusion:
Financial Institutions Management: A Risk Management Approach 9th Edition is an essential resource for students and professionals looking to understand the complexities of managing financial institutions. By combining theoretical knowledge with practical applications, the book prepares readers to tackle the challenges of risk management in a rapidly evolving financial landscape. Whether for academic study or professional development, this edition is an indispensable guide to the modern world of finance and banking.
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Writer ✤ Anthony Saunders (Author), Marcia Cornett (Author)