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Risk Management and Financial Institutions, 1ed

Автор:
Hull J.    
Издательство:
Prentice Hall    
Год:2006
Цена:
1771 руб
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Развитие финансовых систем, основанных на рыночных...
В США важным орудием банковской инспекции является рейтинговая система CAMEL. Рейтинг основывается на оценке пяти измерений бан- ковских операций, которые отражают финансовые условия учрежде- ния, соответствие банковскому законодательству и общим требо- ваниям надежности. Оцениваются следующие показатели: собственный капитал банка, качество его активов, квалификация руководства, объем и качество доходов и состояние ликвидности. Каждый показатель оценивается по пятибалльной шкале, где 1 - наивысшая и наибо- лее благоприятная оценка, а 5 - наихудшая. По этим показателям составляется общий рейтинг. СОБСТВЕННЫЙ КАПИТАЛ. Функцией собственного капитала банка является поддержание деятельности банка и погашение убытков для того, чтобы защитить вкладчиков банка и дать ему возмож- ность продолжить удовлетворять кредитные потребности общества. Основным орудием, используемым инспекторами для оценки состоя- ния собственного капитала, является коэффициентом риска акти- вов (risk-asse ra io). Этот коэффициент определяется как от- ношение общего собственного капитала банка к потенциально рискованным активам. Общий собственный капитал банка обычно включает в себя акционерный капитал и резервы на возмещение потерь по ссудам.


A Risk Management Approach Financial Institutions Management: The McGraw-Hill Companies Anthony S.
A Risk Management Approach", 6th edition focuses on managing return and risk in modern financial institutions. The central theme is that the risks faced by financial institutions managers and the methods and markets through which these risks are managed are becoming increasingly similar whether an institution is chartered as a commercial bank, a savings bank, an investment bank, or an insurance company. Although the traditional nature of each sector' s product activity is analyzed, a greater emphasis is placed on new areas of activities such as asset securitization, off-balance-sheet banking, and international banking.
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A risk management approach Financial institutions management. McGraw-Hill Saunders A.
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A Holistic Operational Risk Management Framework for Financial System. General Systems Theory as the Guiding Method Книга по Требованию Anna-Maria K.
The only salvation for the bank industry as the world in general is to start deliberate thinking processes for the first time in the modern history of market economy.
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Credit Risk Management in Islamic Banks. Integrating a new paradigm into Swiss banking regulation Книга по Требованию Nicolas J.B.
This book explains how Swiss banking regulation will need to be adapted in order to allow Islamic Banks to follow Islamic economic precepts in their approach to Credit Risk Management.
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Balanced Chance- and Risk-Management. Integration quantitativer Risikoanalysen in ein wertorientiertes Planungs- und Steuerungsmodell Книга по Требованию
Diese Vorgehensweise schafft ein theoretisch einwandfreies und gleichzeitig in der Unternehmenspraxis konkret anwendbares Konzept, dass zu den identischen Barwerten kommt, wie die pagatorischen Rechnungen.
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Liquidity Risk Management. with special interest to the Hungarian banking sector Книга по Требованию Eszter B.
The proper management of liquidity risk is receiving growing attention lately primarily due to the increase in risk factors and to the effect of recently experienced crises.
2008 руб
RISK MANAGEMENT IN FOREX MARKETS. INDIAN PERSPECTIVE Книга по Требованию RAVICHANDRAN K.
The Risk Management Guidelines are primarily an enunciation of some good and prudent practices in exposure management.
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Operational Risk Management Systems. A framework for systematic management of operational risks Книга по Требованию Thitima P.
The framework proposed in this book should assist organisations to manage operational risks more effectively and could also be used as a model to research operational risk management system applications in other countries.
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Social Dialogue and the International Financial Institutions. The case of Eastern Europe Книга по Требованию Christina H.
For decades, the International Financial Institutions (IMF, World Bank) have been viewed as the epitome of neo-liberal policies, resulting in a problematic relationship with standards of social law and social rights, as developed by the ILO.
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Operational Risk Management Книга по Требованию Lambert M. S.
The role of the Chief Operational Risk Officer (CORO) continues to evolve and gain importance.
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It will examine the nature and characteristics of a gap or even contradictions between these sets of strategies and discuss the engagement of the International Financial Institutions (World Bank / International Monetary Fund) to assess whether their activities and policies widen or narrow that gap.
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Risk Management in Complex Projects. An exploratory study to managing unknown unknowns in uncertain environments Книга по Требованию Antonella C.
This book explores another dimension where ‘standard operating procedures' , ‘out of the box' solutions and ‘recipe knowledge' cannot be counted on to deal with unforeseen events that create chaotic conditions and uncertain outcomes. This dimension has pushed leaders to acknowledge the need to search for, identify and test new approaches in managing projects and hence the related risks. Complex projects are characterised by an unforeseeable development which is beyond the expectation or imagination of the individuals managing the system. This book discusses the implications of complexity for risk management. Through this discussion the characteristics of Complex Risk Management (CRM) as a field of complex project management are identified. One of the core questions is: to what extent is it possible to use the know-how from business contexts to manage risks in projects which involve environmental and/or social complexity? In project management it is generally understood that things may be complicated and a challenge to manage effectively, but that problems will eventually be resolvable.
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Further on, the book examines the impact of FX hedging procedures on the company and presents pro and counterarguments of corporate hedging.
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Broadly speaking, there are three major types of financial institution.
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Meeting the Challenges of Quality and Financial Management. A case of Private Higher Education Institutions (PHEIs) in Ethiopia Книга по Требованию Abiot T.
The primary aim of this book is to identify the challenges that private higher education institutions (PHEIs) face to provide quality education.
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Legal Risk in the Financial Markets Oxford University Press McCormick R.
McCormick traces the origins of legal risk as a phenomenon in the global financial markets, particularly in the UK market, addressing how concerns about it have been dealt with in light ofbeen landmark cases such as Hazell v Hammersmith & Fulham and Re Charge Card. The formation of The Legal Risk Review Committee by the Bank of England and the work of similar organizations, the Financial Law Panel at the Financial Markets Law Committee are considered. The book analyses the principal components of legal risk, i. e. litigation/regulatory action risk and defective documentation, as well as related risks, such as reputational risk and political risk. Analytical consideration is also given to current and recent legal risk concerns (in relation to e. g. conflicts of interest, securities held through intermediaries, compliance with anti-terrorism/money-laundering laws, settlement risk etc. ) as well as older issues regarding the efficacy of close-out, and multilateral, netting arrangements and insolvency set-off and related legislation and case law. The book also features a section on the management of legal risk including the role of in-house counsel and compliance and the related regulatory aspects. It also considers how legal risk is intended to be addressed as part of operational risk under the new Basel II regulatory regime. - The only book of its kind on this topical issue - Timely publication ahead of the new Basel II regime - Considers practical issues concerning management of legal risk - A highly respected author and name in financial law This timely new book explains what legal risk means in the context of the financial markets and why concerns about legal risk have grown in recent years.
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Fundamentals of Financial Management, 12ed Prentice Hall James V.H.
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Analysis for Financial Management The McGraw-Hill Companies Robert H.
Emphasis is on the managerial applications of financial analysis. "Analysis for Financial Management", 9e is a paperback text and has been written to present standard techniques and modern developments in a practical and intuitive manner.
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Молочный гриб можно использовать для похудения, восстановления микрофлоры, очищения организмаМолочный гриб можно использовать для похудения, восстановления микрофлоры, очищения организма

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