MANAGING FINANCIAL INSTITUTIONS
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This book takes a novel approach to solving a financial manager''s problems by applying a valuation focus to the firm''s risk management decisions. Rather than concentrating solely on defining and measuring a bank''s risks, our book goes a step further by explicitly considering how these risks can impact the market value of the bank from a shareholder''s perspective. The book uses an integrated valuation framework which quantifies the costs and benefits of how a bank should manage its main risks associated with key functions such as lending, investing, financing, and liquidity provision. The book''s hands-on approach to learning also incorporates useful tools for student learning, such as helpful mnemonics, illustrative examples, and a spreadsheet which brings the concepts discussed in the book to life. It is a must-read for readers eager to improve their risk management skills.
Get MANAGING FINANCIAL INSTITUTIONS by at the best price and quality guaranteed only at Werezi Africa's largest book ecommerce store. The book was published by World Scientific Publishing Co Pte Ltd and it has pages.