Bank Asset and Liability Management
1462 Kč
Sleva až 70% u třetiny knih
Created for banking and finance professionals with a desire to expand their management skillset, this book focuses on how banks manage assets and liabilities, set up governance structures to minimize risks, and approach such critical areas as regulatory disclosures, interest rates, and risk hedging.
| Autor: | Carless, David (University of Hong Kong) |
| Nakladatel: | John Wiley And Sons Ltd |
| ISBN: | 9780470827536 |
| Rok vydání: | 2018 |
| Jazyk : | Angličtina |
| Vazba: | Paperback |
| Počet stran: | 160 |
Mohlo by se vám také líbit..
-
Economics For Dummies
Peter Antonioni, Sean Masaki Flynn
-
The Science of Getting Rich
Wattles Wallace D.
-
Common Stocks and Uncommon Profits a...
Fisher, Philip A.
-
Where Are the Customers' Yachts?
Schwed, Fred
-
The Dhandho Investor
Pabrai, Mohnish
-
Bookkeeping For Dummies
Kelly, Jane
-
The Alchemy of Finance
George Soros
-
Trading for a Living
Alexander Elder
-
Reminiscences of a Stock Operator
Lefèvre, Edwin
-
Still Moving Field Guide
Rowland, Deborah
-
The Davis Dynasty
Lynch Peter, Rothchild John
-
Investment Biker
Jim Rogers
-
Hedgehogging
Biggs, Barton
-
Political Ecology
Nordoff Paul, Robbins Clive
-
Quantitative Financial Economics
Cuthbertson, Keith; Nitzsche, Dirk
-
Poorly Made in China
Midler Paul
