000 01638nam a2200205Ia 4500
999 _c1065
_d1065
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005 20190520131609.0
008 140801s2008 xx 000 0 und d
020 _a9788120335332
082 _a332.10681 SHA
100 _aSHARMA
245 _aManagement of Financial Institutions: With Emphasis on Bank and Risk Management
250 _a1st
260 _bPHI
_c2008
500 _aPreface Part One INTRODUCTION 1. Financial Institutions 2. Depository Financial Institutions 3. Non-Depository Financial Institutions Part Two BANK PRODUCTS, FINANCIAL STATEMENTS AND PERFORMANCE ANALYSIS 4. Bank Products 5. Bank Financial Statements 6. Performance Analysis of Banks Part Three RISKS FACED BY FINANCIAL INTERMEDIARIES 7. Introduction to Risk Management 8. Market Risk 9. Interest Rate Risk 10. Credit Risk 11. Operational Risk 12. Liquidity Risk 13. Hedging Risks at Banks Part Four REGULATION AND BANK CAPITAL 14. Managing Bank Capital 15. Basel I: The Capital Accord 16. Basel II: The New Accord Part Five TRENDS IN BANKING 17. Trends in the Banking Industry Appendices • References and Bibliography Answers to Odd-Numbered Problems • Index
650 _aFinancial economics
700 _aMeera SHARMA
856 _uhttps://books.google.co.in/books?id=2ruAFEbijuIC&printsec=frontcover&dq=MANAGEMENT+OF+FINANCIAL+INSTITUTIONS+:+WITH+EMPHASIS+ON+BANK+AND+RISK+MANAGEMENT&hl=en&sa=X&ved=0ahUKEwi-orfkyKniAhXMdysKHVAVD8cQ6AEIKDAA#v=onepage&q=MANAGEMENT%20OF%20FINANCIAL%20INSTITUTIONS%20%3A%20WITH%20EMPHASIS%20ON%20BANK%20AND%20RISK%20MANAGEMENT&f=false
942 _2ddc
_cBK
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