Author: Anthony Saunders (USA) & Li Bingshang (Translator)
Publisher:
Publish Date: 2002-05-01
Features: Based on the edition, this book introduces innovations and revisions, focusing on the risks and returns of modern financial institutions. It argues that managers of financial institutions—whether commercial banks, investment banks, savings banks, or insurance companies—must properly address financial risks and seek market and methods from risk management. The book covers detailed content on financial institutions, financial institutions and markets, etc. Currently, the financial services industry is undergoing significant transformations, which has led to greater risks for financial institution managers. To address this, financial service institutions have adopted a more proactive approach: diversifying risks through co-sharing and selling their services as specialized risk management institutions to take on and manage risks for their clients. This book focuses on both returns and risks, providing a detailed analysis of methods to achieve the best or most favorable return-risk outcomes for financial institution owners to expand their yield. The book is suitable for senior university students and MBA students, as well as relevant professionals.
Modern Financial Institution Management (Second Edition)
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