search for books and compare prices
asset liability management matches 13 work(s)
displaying 1 to 13 | at end
show results in order: alphabetically | oldest to newest | newest to oldest
Cover for 9780881327052 Cover for 9780470019122 Cover for 9780471499770 Cover for 9780471974659 Cover for 9780470019139 Cover for 9780471893363 Cover for 9780471974666 Cover for 9781118660218 Cover for 9781118925652 Cover for 9780314041616 Cover for 9780314862723 Cover for 9780324009552 Cover for 9780324071740 Cover for 9780324165517 Cover for 9780324568196 Cover for 9780538482967 Cover for 9780538877879 Cover for 9781133947837 Cover for 9781439038338 Cover for 9780324015560 Cover for 9780324164596 Cover for 9780324288421 Cover for 9780324365634 Cover for 9780324593471 Cover for 9781133435174 Cover for 9781305117228 Cover for 9780071624992 Cover for 9780071839488 Cover for 9780345290083 Cover for 9781137329479 Cover for 9780071784900 Cover for 9780857933812 Cover for 9780470687253 Cover for 9780230277793 Cover for 9781586039929 Cover for 9780071615136 Cover for 9780345290083 Cover for 9781585471744
cover image for 9781118925652
Never before has risk management been so important. Now in its third edition, this seminal work by Joël Bessis has been comprehensively revised and updated to take into account the changing face of risk management. Fully restructured, featuring new material and discussions on new financial products, derivatives, Basel II, credit models based on time intensity models, implementing risk systems and intensity models of default, it also includes a section on subprime that discusses the crisis mechanisms and makes numerous references throughout to the recent stressed financial conditions. The book postulates that risk management practices and techniques remain of major importance, if implemented in a sound economic way with proper governance. Risk Management in Banking, Third Edition considers all aspects of risk management emphasizing the need to understand conceptual and implementation issues of risk management and examining the latest techniques and practical issues, including: Asset-Liability Management Risk regulations and accounting standards Market risk models Credit risk models Dependencies modeling Credit portfolio models Capital Allocation Risk-adjusted performance Credit portfolio management Building on the considerable success of this classic work, the third edition is an indispensable text for MBA students, practitioners in banking and financial services, bank regulators and auditors alike. ISBN 978-0-470-01912-2 [insert Wiley logo and ISBN barcode]

Hardcover:

9780470019122 | 3 edition (John Wiley & Sons Inc, February 8, 2010), cover price $146.00 | About this edition: Never before has risk management been so important.
9780471499770 | 2 sub edition (John Wiley & Sons Inc, June 10, 2002), cover price $180.00
9780471974659 | John Wiley & Son Ltd, January 1, 1998, cover price $165.00 | About this edition: Risk Management in Banking Joel Bessis Risk management and efficient asset allocation are the watchwords of modern banking - not only for profitability and security, but also to comply with the increasingly stringent international regulations laid down by the Bank for International Settlements.

Paperback:

9781118925652 | 4 workbook edition (John Wiley & Sons Inc, January 4, 2017), cover price $50.00
9781118660218 | 4th edition (John Wiley & Sons Inc, June 8, 2015), cover price $65.00
9780470019139 | 3 edition (John Wiley & Sons Inc, February 8, 2010), cover price $70.00
9780471893363 | 2 sub edition (John Wiley & Sons Inc, May 24, 2002), cover price $90.00 | About this edition: Fully revised and updated from the highly successful previous edition, Risk Managment in Banking 2nd Edition covers all aspects of risk management, shedding light on the extensive new developments in the field.
9780471974666 | Spiral-bound edition (John Wiley & Son Ltd, January 1, 1998), cover price $65.00

Miscellaneous:

9780470065464 | 2 edition (John Wiley & Sons Inc, October 2, 2006), cover price $160.00

cover image for 9781305117228
This text combines a strong foundation in international finance theory with current, practical applications. Thorough, up-to-date treatment of cutting-edge international finance issues along with traditional treatment of international financial management. This text is known for its clarity of explanation and readability as well as its extensive use of applications and reader-oriented pedagogy.

Hardcover:

9780538482967 | 11 edition (South-Western Pub, October 12, 2011), cover price $345.95
9781439038338 | 10th edition (South-Western Pub, September 25, 2009), cover price $295.95
9780324568196 | 9 fol har/ edition (South-Western Pub, September 24, 2007), cover price $245.95
9789990166163 | 8 edition (Thomson Learning, January 10, 2005), cover price $0.02
9780324071740 | South-Western Pub, December 1, 2002, cover price $96.95 | also contains Strobe Ruled A6
6 other edition(s) in this binding (see all)

Paperback:

9781133435174 | 11 abr edition (South-Western Pub, October 3, 2012), cover price $244.95
9781617446269 | Academic Internet Pub Inc, December 31, 2010, cover price $37.95
9780324593471 | 9 pap/map edition (South-Western Pub, September 19, 2008), cover price $193.95
9781844803606 | 1 edition (Cengage Learning, January 3, 2007), cover price $86.99
9781428808904 | Academic Internet Pub Inc, October 30, 2006, cover price $37.95
5 other edition(s) in this binding (see all)

cover image for 9780071839488
Product Description: The definitive guide to complying with the brand-new Basel III requirements and creating sustainable value With the Final Standard of Basel III published and implementation deadlines set, there's no better time for the revised and updated edition of the cornerstone resource bankers, bank regulators, auditors, and risk managers worldwide rely on--Bank Valuation and Value-Based Management...read more

Hardcover:

9780071839488, titled "Bank Valuation & Value-Based Management: Deposit and Loan Pricing, Performance Evaluation, and Risk Management" | 2 edition (McGraw-Hill, October 16, 2014), cover price $125.00 | About this edition: The definitive guide to complying with the brand-new Basel III requirements and creating sustainable value With the Final Standard of Basel III published and implementation deadlines set, there's no better time for the revised and updated edition of the cornerstone resource bankers, bank regulators, auditors, and risk managers worldwide rely on--Bank Valuation and Value-Based Management.
9780071624992, titled "Bank Valuation & Value-Based Management: Deposit and Loan Pricing, Performance Evaluation, and Risk Management" | McGraw-Hill, August 11, 2009, cover price $95.00

Paperback:

9780345290083, titled "Follow the Free Wind" | Ballantine Books, June 1, 1980, cover price $1.75 | also contains Follow the Free Wind | About this edition: Western Fiction

cover image for 9780857933812
Product Description: Managing Risk in the Financial System makes important and timely contributions to our knowledge and understanding of banking law, financial institution restructuring and related considerations, through the production of an innovative, international and interdisciplinary set of contributions which link law and policy issues surrounding systemic risk and crisis management...read more

Hardcover:

9780857933812 | Edward Elgar Pub, August 11, 2011, cover price $220.00 | About this edition: Managing Risk in the Financial System makes important and timely contributions to our knowledge and understanding of banking law, financial institution restructuring and related considerations, through the production of an innovative, international and interdisciplinary set of contributions which link law and policy issues surrounding systemic risk and crisis management.

cover image for 9780470687253
Product Description: "A great write-up on the art of banking. Essential reading for anyone working in finance." Dan Cunningham, Senior Euro Cash & OBS Dealer, KBC Bank NV, London "Focused and succinct review of the key issues in bank risk management." Graeme Wolvaardt, Head of Market Risk Control, Europe Arab Bank plc, London The importance of banks to the world's economic system cannot be overstated...read more

Paperback:

9780470687253 | John Wiley & Sons Inc, May 3, 2011, cover price $70.00 | About this edition: "A great write-up on the art of banking.

cover image for 9780230277793
Product Description: Recent years have shown an increase in development and acceptance of quantitative methods for asset and liability management strategies. This book presents state of the art quantitative decision models for three sectors: pension funds, insurance companies and banks, taking into account new regulations and the industries risks...read more

Hardcover:

9780230277793 | 1 edition (Palgrave Macmillan, May 15, 2011), cover price $240.00 | About this edition: Recent years have shown an increase in development and acceptance of quantitative methods for asset and liability management strategies.

cover image for 9781586039929
Product Description: Operational risk is possibly the largest threat to financial institutions. The operational risk that financial institutions face has become more complex, more potentially devastating and more difficult to anticipate. Moreover, operational risk management is an essential part of the economic activities and economic development in financial institutions...read more

Paperback:

9781586039929 | Ios Pr Inc, June 15, 2009, cover price $79.00 | About this edition: Operational risk is possibly the largest threat to financial institutions.

By Greg N. Gregoriou (editor)

Hardcover:

9780071625159, titled "The VaR Modeling Handbook: Practical Applications in Alternative Investing, Banking, Insurance, and Portfolio Management" | McGraw-Hill, May 12, 2009, cover price $95.00

cover image for 9780071615136
Product Description: [flap] For investors, risk is about the odds of losing money, and Value at Risk (VaR) is grounded in that common-sense fact. VAR modeling answers, “What is my worst-case scenario?” and “How much could I lose in a really bad month?” However, there has not been an effective guidebook available to help investors and financial managers make their own VaR calculations--until now...read more
By Greg N. Gregoriou (editor)

Hardcover:

9780071615136, titled "The VaR Implementation Handbook: Financial Risk and Measurement and Modeling" | McGraw-Hill, February 19, 2009, cover price $95.00 | About this edition: [flap] For investors, risk is about the odds of losing money, and Value at Risk (VaR) is grounded in that common-sense fact.

cover image for 9781585471744
Western Fiction

Paperback:

9780345290083 | Ballantine Books, June 1, 1980, cover price $1.75 | also contains Bank Valuation and Value-based Management: Deposit and Loan Pricing, Performance Evaluation, and Risk Management | About this edition: Western Fiction

Library:

9781585471744 | Largeprint edition (Center Point Pub, March 1, 2002), cover price $28.95

displaying 1 to 13 | at end