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dc.contributor.authorWernz, Johannesen_US
dc.date.accessioned2016-07-06T01:18:53Z
dc.date.available2016-07-06T01:18:53Z
dc.date.issued2014en_US
dc.identifier.isbn978-3-642-40374-3en_US
dc.identifier.isbn978-3-642-40373-6en_US
dc.identifier.otherHPU2160222en_US
dc.identifier.urihttps://lib.hpu.edu.vn/handle/123456789/22206
dc.description.abstractStrategic planning, including the required quantitative methods, is an essential part of bank management and control. In this book capital, risk and yield are treated comprehensively and seamlessly. And a thorough introduction to the advanced methods of risk management for all sectors of banking is discussed. In addition, directly applicable concepts and data such as macroeconomic scenarios for strategic planning and stress testing as well as detailed scenarios for operational risk and advanced concepts for credit risk are presented in straightforward language. The book analyzes the effects of macroeconomic and regulatory developments such as the set of Basel III rules on planning, and it also presents and discusses the consequences for actively meeting these challenges, especially in terms of capital. A wealth of essential background information from practice, international observations and comparisons, along with numerous illustrative examples, make this book a useful resource for established and future professionals in bank management, risk/return management, controlling and accounting.en_US
dc.format.extent131 p.en_US
dc.format.mimetypeapplication/pdf
dc.language.isoenen_US
dc.publisherSpringer-Verlag Berlin Heidelbergen_US
dc.relation.ispartofseriesManagement for professionalsen_US
dc.subjectBank managementen_US
dc.subjectStrategyen_US
dc.subjectRisk managementen_US
dc.titleBank Management and Control: Strategy, Capital and Risk Managementen_US
dc.typeBooken_US
dc.size3.85 MBen_US
dc.departmentEnglish resourcesen_US


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