Analyzing banking risk; a framework for assessing corporate governance and risk management, 3d ed.9780821377284 Analyzing banking risk; a framework for assessing corporate governance and risk management, 3d ed. Greuning, Hennie van and Sonja Brajovic Bratanovic. The World Bank 2009 422 pages $55.00 Paperback HG1615 The third edition of this guide to financial risks in banking has been expanded to include a new chapter on management of the treasury function and revised chapters on capital adequacy, transparency and banking supervision. Van Greuning (treasury adviser, The World Bank) and Bratanovic (senior financial sector specialist, The World Bank) have aimed this information at bank analysts, senior banking officials and managers who are involved with corporate governance and risk management, and cover such topics as frameworks for risk analysis, balance sheet structure, income statement structure, managing liquidity and other investment portfolios and currency risk management. Appendices include a questionnaire for the analytical review of banks and the 2006 version of the Basel Core Principles for Effective Banking Supervision. ([c]2009 Book News, Inc., Portland, OR) |
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