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Financial institutions management : a modern perspective / Anthony Saunders.

By: Material type: TextPublication details: Chicago : Irwin, c1997.Edition: 2nd edDescription: xx, 667 p. : ill. ; 27 cmISBN:
  • 0256153671
ISSN:
  • 9780256153675
Subject(s): LOC classification:
  • HG181 .S33
Contents:
The financial service industry - depository institutions; the financial service industry - insurance companies; the financial service industry - other financial institutions; why are financial intermediaries special?; measuring risk; risks of financial intermediation; interest rate risk - the maturity model; interest rate risk - the duration model; interest rate risk - the repricing model; market risk; credit risk - individual loan risk; credit risk - loan portfolio risk; off-balance sheet activities; operating cost and technology risk; foreign exchange risk; sovereign risk; liquidity risk; managing risk; liability and liquidity management; deposit insurance and other liability guarantees; capital adequacy; product expansion; geographic diversification; futures and forwards; options, caps, floors and collars; saps; loan sales.
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Holdings
Cover image Item type Current library Home library Collection Shelving location Call number Materials specified Vol info URL Copy number Status Notes Date due Barcode Item holds Item hold queue priority Course reserves
Books Methodist University Library Main General Stacks HG181 .S33 (Browse shelf(Opens below)) Available 13478
Books Methodist University Library Main General Stacks HG181 .S33 (Browse shelf(Opens below)) Available 13479
Books Methodist University Library Main General Stacks Reference HG181 .S33 (Browse shelf(Opens below)) Available 13477
Books Methodist University Library Main General Stacks Reference HG181 .S33 (Browse shelf(Opens below)) Available 13476

Includes bibliographical references and index

The financial service industry - depository institutions; the financial service industry - insurance companies; the financial service industry - other financial institutions; why are financial intermediaries special?; measuring risk; risks of financial intermediation; interest rate risk - the maturity model; interest rate risk - the duration model; interest rate risk - the repricing model; market risk; credit risk - individual loan risk; credit risk - loan portfolio risk; off-balance sheet activities; operating cost and technology risk; foreign exchange risk; sovereign risk; liquidity risk; managing risk; liability and liquidity management; deposit insurance and other liability guarantees; capital adequacy; product expansion; geographic diversification; futures and forwards; options, caps, floors and collars; saps; loan sales.

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