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Financial Institutions Management: A Risk Management Approach
 
 
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Financial Institutions Management: A Risk Management Approach [Paperback]

Anthony Saunders , Marcia Millon Cornett
4.8 out of 5 stars  See all reviews (4 customer reviews)
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Financial Institutions Management: A Risk Management Approach + Risk Management in Banking + The Economics of Banking
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Product details

  • Paperback: 864 pages
  • Publisher: McGraw-Hill Higher Education; 7 edition (1 Jan 2011)
  • Language English
  • ISBN-10: 0071289550
  • ISBN-13: 978-0071289559
  • Product Dimensions: 25.2 x 20 x 3.8 cm
  • Average Customer Review: 4.8 out of 5 stars  See all reviews (4 customer reviews)
  • Amazon Bestsellers Rank: 172,088 in Books (See Top 100 in Books)
  • See Complete Table of Contents

More About the Author

Anthony Saunders
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Product Description

Product Description

Saunders and Cornett’s Financial Institutions Management: A Risk Management Approach 7/e 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 analyzed, a greater emphasis is placed on new areas of activities such as asset securitization, off-balance-sheet banking, and international banking.

About the Author

Anthony Saunders, New York University
Marcia Millon Cornett, Bentley University

Inside This Book (Learn More)
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First Sentence
The major themes of this book are the measurement and management of the risks of financial institutions. Read the first page
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Front Cover | Copyright | Table of Contents | Excerpt | Index | Back Cover
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Most Helpful Customer Reviews
5 of 5 people found the following review helpful
By Eleimon Gonis VINE™ VOICE
Format:Hardcover
As a student of Banking and Financial Management at the University of Piraeus, I studied a lot about Finance, Financial Management and Risk Management. All the theory is located in this book! Our professors used this book for class workshops. The level of detail is just extraordinary, the theoretical part well documented and of course brilliantly written, something that gives every person the chance to read this book and quickly understand the basic underlying concepts of Financial Management. The practical problems and questions give you the possibility to combine the theoretical knowledge with some situattions you can find in the real world! I owe this book a lot! Some pretty good grades, but most of all the valuable knowledge I gained from it whilre reading it! And believe me, it's fun reading it also!
A "killer" book, essential for every personal or even commercial library!
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1 of 1 people found the following review helpful
By A Customer
Format:Paperback
This is possibly the best book in risk management available today. This is due to the combination of breadth and depth of the text. The author gently introduces the student to an important subject and explains with pains how to manage each and every kind of risk. The two chapters on Interest rate risk are absolutely fabulous. There is a sense of contunuity in the sense that the concepts you learn in one chapter has applications in another. The problems at the end of the chapters are are also challenging and will require an in-depth understanding of the subject. This book is the ultimate.
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Format:Paperback
Interesting. Not very deep but good intermediate reference. The initial chapters (on industry description) are very boring, but keeping with the reading pays up: the chapters on risk management are much better.
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