Financial Institutions Management: A Risk Management Approach | Zookal Textbooks | Zookal Textbooks

Financial Institutions Management: A Risk Management Approach

In stock

Leaves in 1-2 business days

$107.95 $139.95 Save $32.00
or 4 payments of $26.98 with Zookal accepts Afterpay
Add Homework Help FREE trial and save a further 10% 

NEW PRICE

$97.16 + free shipping

(10% off - save $10.80)

Homework Help Free trial

14-day FREE trial. $19.95/mo after. Cancel anytime.

*Discount will apply at checkout.

 See terms and conditions

You will get a further 10% off for this item ($97.16 after discount) because you have added Homework Help Premium Free Trial to your bag.

For this discount to apply, you will need to complete checkout with the Homework Help Premium Free Trial in your bag.

-
+
Get it instantly

Zookal account needed

$74.20
or 4 payments of $18.55 with Zookal accepts Afterpay
Add Homework Help FREE trial and save a further 10% 

NEW PRICE

$66.78 + free shipping

(10% off - save $7.42)

Homework Help Free trial

14-day FREE trial. $19.95/mo after. Cancel anytime.

*Discount will apply at checkout.

 See terms and conditions

You will get a further 10% off for this item ($66.78 after discount) because you have added Homework Help Premium Free Trial to your bag.

For this discount to apply, you will need to complete checkout with the Homework Help Premium Free Trial in your bag.

-
+
  • Author(s)Helen Lange / Anthony Saunders / Marcia Millon Cornett
  • Edition4
  • Published12th June 2015
  • PublisherMcGraw-Hill Education / Australia
  • ISBN
  • University course codes
    • Charles Sturt University:FIN310 - Commercial Banking And Finance
    • Charles Sturt University:FIN523 - Lending and Financial Institutions
    • Charles Sturt University:FIN525 - Financial Institutions Management
    • Curtin University:BANK3003 - Fundamentals Of Bank Management
    • Curtin University:BANK5001 - Advanced Bank Management
    • Edith Cowan University (ECU):ECF3312 - Financial Institutions Management
    • Edith Cowan University (ECU):ECF3312 - Financial Institutions Mgmt 3
    • Federation University Australia:BUECO3722 - Banking & Finance
    • Griffith University:2204AFE - Financial Institutions Managment
    • James Cook University (JCU):BX3133 - Risk Management
    • Macquarie University:AFIN803 - Banking & Financial Intermediation
    • Macquarie University:AFIN803 - Banking And Financial Intermediation
    • Monash University:BFC3170 - Management of Financial Intermediaries
    • Monash University:BFC5280 - Institutional asset and liability management
    • Monash University:BFF2401 - Commercial Banking And Finance
    • Murdoch University:BUS308 - Credit and Lending Decisions
    • Open Universities:FIN20013 - Monetary Policy & Risk Management
    • University of Adelaide:CORPFIN7048 - Financial Institutions Management (M)
    • University of Canberra (UOC):6412 - Managing Financial Services Firms
    • University of Melbourne:FNCE20002 - Management of Financial Institutions
    • University of Newcastle:ACFI3190 - Financial Institutions Management
    • University of Queensland:FINM3404 - Banking And Lending Decisions
    • University of South Australia:BANK5037 - Risk Management in Financial Institutions
    • University of Sydney (USYD):BANK3011 - Business
    • University of Sydney (USYD):BANK6002 - Bank Management
    • University of Sydney (USYD):FINC3018 - Bank Financial Management
    • University of Tasmania (UTAS):BEA705 - Financial Institutions And Markets
    • University of Technology Sydney (UTS):25574 - Commercial Banking Management
    • University of Western Sydney (UWS):200818 - Bank Management
    • University of Western Sydney (UWS):51165 - Financial Institutions Management
    • Victoria University:BEO2001 - Commercial Banking & Finance
    • Victoria University:BEO3447 - Commercial Banking & Finance


Financial Institutions Management: A Risk Management Approach, 4th edition provides an innovative approach that 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 analysed, a greater emphasis is placed on new areas of activities such as asset securitisation, post-GFC implications, off-balance-sheet banking, and international banking.

This text takes a global view of the subject with insights from financial institutions across the world including in Australia, US, Europe and Asia. Updated with information on the GFC and volatile markets in general, Financial Institutions Management 4e offers a well-rounded view of the industry, including regulatory, historical and technological perspectives.

Helen Lange’s clear and precise writing style provides a detailed yet accessible text, suitable for undergraduate and more advanced students of financial institutions management.



translation missing: en.general.search.loading