Ebook Analyzing banking risk: A framework for assessing corporate governance and risk management – Part 2

Ebook Analyzing banking risk: A framework for assessing corporate governance and risk management – Part 2 includes contents: Chapter 7 credit risk management, chapter 8 liquidity risk management, chapter 9 managing liquidity and other investment portfolios, chapter 10 market risk management, chapter 11 currency risk management, chapter 12 asset-liability management, chapter 13 operational risk management in a treasury environment, chapter 14 transparency and data quality, chapter 15 a risk-based approach to bank supervision.