000 | 01093nam a2200253Ia 4500 | ||
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003 | NULRC | ||
005 | 20250520100713.0 | ||
008 | 250520s9999 xx 000 0 und d | ||
020 | _a9780071289559 | ||
040 | _cNULRC | ||
050 | _aHG 181 .S28 2011 | ||
100 |
_aSaunders, Anthony. _eauthor |
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245 | 0 |
_aFinancial institution management : _ba risk management approach / _cAnthony Saunders and Marcia Millon Sornett |
|
250 | _aSeventh Edition. | ||
260 |
_aNew York : _bMcGraw Hill Education, _cc2011 |
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300 |
_axxii, 884 pages : _bcolor illustrations ; _c26 cm. |
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365 | _bPHP2899 | ||
504 | _aIncludes index. | ||
505 | _aPart One. Introduction -- Part Two. Measuring risk -- Part Three. Managing risk. | ||
520 | _aThis text focuses on managing return and risk in modern financial institutions. The central theme is that the risks faced by managers and the methods and markets through which these risks are managed are becoming increasingly similar. | ||
650 | _aFINANCIAL INSTITUTIONS MANAGEMENT | ||
700 |
_aSornett, Marcia Millon. _eco-author |
||
942 |
_2lcc _cBK |
||
999 |
_c11901 _d11901 |