Risk Management / Indian Institute of Banking & Finance
Material type: TextLanguage: English Publication details: Chennai : Macmillan Education, 2017Description: xiv, 493 pISBN:- 9780230331983
- 332.106 IIB
Item type | Current library | Collection | Call number | Status | Date due | Barcode |
---|---|---|---|---|---|---|
General Books | CUTN Central Library Social Sciences | Non-fiction | 332.106 IIB (Browse shelf(Opens below)) | Available | 43818 |
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332.106 HUL Risk management and financial institutions / | 332.106 HUL Risk management and financial institutions / | 332.106 HUL Risk management and financial institutions / | 332.106 IIB Risk Management / | 332.106 KLA Economic capital : | 332.109 CHA Microfinance, financial inclusion and banking innovations | 332.109 CHA Financial services in India; |
The book on Risk Management is a systematic attempt to capture the latest development in risk management, especially with reference to Indian markets. Risk Management in banks has assumed an increasing importance with the globalization of Indian financial markets. Therefore, officers working in risk management departments of banks need to retool, re-equip, and fully update themselves to meet the latest developments, especially in the field of risk management and derivative instruments. The book gives a slightly advanced treatment of the subject as it is meant to be one of the electives for CAIIB candidates. The book is based on rich experience of the team of authors who are well-known both in the banking and the academic world.
Foreward MODULE A - An Overview MODULE B - Credit Risk Management MODULE C - Operational Risk management MODULE D - Mark Risk Appendix - Statical Concepts
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