Написать рефераты, курсовые и дипломы самостоятельно.  Антиплагиат.
Студенточка.ru: на главную страницу. Написать самостоятельно рефераты, курсовые, дипломы  в кратчайшие сроки
Рефераты, курсовые, дипломные работы студентов: научиться писать  самостоятельно.
Контакты Образцы работ Бесплатные материалы
Консультации Специальности Банк рефератов
Карта сайта Статьи Подбор литературы
Научим писать рефераты, курсовые и дипломы.


подбор литературы периодические источники литература по предмету

Risk management tool in financial institutions: Strategic interest (German Edition)



Год выпуска: 2010
Автор: Audrey Sneider
Издательство:
Страниц: 180
ISBN: 363912149X
Описание
Banks and financial institutions record core banking activities (taking deposits and making loans) on the balance sheet of the banking book, but trading book (trading and investment) pursuits are recorded off-balance-sheet. Both books are subject to considerable risk from numerous sources, but regulatory capital reserves ? to shield from unexpected market moves ? are not required for the banking book as they are for the trading book. Both of these substantial shortcomings will be addressed in the near future. The 2005 initiation of new global accounting standards will ensure that trading book derivative fair values are recorded and reported on the balance sheet while the new Basel accord, due for full implementation in 2007, will regulate the calculation and reservation of capital required for the banking book. These changes are expected to better regulate and manage the transparency of financial institutions' activities and so prevent large scale economic disasters or deliberate...


Похожие книги

  1. Christopher Lee Marshall. Measuring and Managing Operational Risks in Financial Institutions : Tools, Techniques, and other Resources (Wiley Frontiers in Finance). – М.: , 0. – 0 с.
  2. Constantin Zopounidis. Operational Tools in the Management of Financial Risks. – М.: , 0. – 0 с.
  3. Dearborn Financial Institute. Pensions and Profit Sharing. – М.: , 0. – 0 с.
  4. International Conference on Risk and Uncertainty in Environmental and, Hans-Peter Weikard, Robert D. Weaver, Justus Wesseler. Risk and Uncertainty in Environmental and Natural Resource Economics. – М.: , 0. – 0 с.
  5. Stanley W. Black, Mathias Moersch, American Institute for Contemporary German Studies. Competition and Convergence in Financial Markets. – М.: , 0. – 0 с.
  6. Dearborn Financial Institute, Dearborn. Individual and Family Markets. – М.: , 0. – 0 с.
  7. Dearborn Financial Institute. Total Needs Planning: Plus 1998 Guide to Social Security and Medicare. – М.: , 0. – 0 с.
  8. Donald R. Van Deventer, Kenji Imai, Mark Mesler. Advanced Financial Risk Management: Tools and Techniques for Integrated Credit Risk and Interest Rate Risk Managements. – М.: John Wiley and Sons, Ltd, 2005. – 670 с.
  9. Professional Risk Manager's International Association (PRMIA). The Professional Risk Managers' Guide to Financial Theory and Application (Primia Risk Management). – М.: , 2007. – 400 с.
  10. Professional Risk Manager's International Association (PRMIA). The Professional Risk Managers' Guide to Financial Markets (Prmia Risk Management Series). – М.: , 2007. – 400 с.
  11. Professional Risk Manager's International Association (PRMIA). The Professional Risk Manager's Guide to Financial Instruments (Prmia Risk Management Series). – М.: , 2007. – 400 с.
  12. Professional Risk Manager's International Association (PRMIA). The Professional Risk Managers' Guide to the Energy Market (Prmia Risk Management Series). – М.: , 2007. – 400 с.
  13. Audrey Sneider. Risk management tool in financial institutions: Strategic interest (German Edition). – М.: , 2010. – 180 с.
  14. Paul Turyaheebwa. Essentials in credit risk management in microfinance institutions. – М.: LAP Lambert Academic Publishing, 2012. – 124 с.
  15. Michaela Skacelova. Operational Risk in Financial Institutions. – М.: LAP Lambert Academic Publishing, 2014. – 68 с.
  16. Hanuman Prasad. Quality Management Practices in Financial Institutions of Rajasthan. – М.: LAP Lambert Academic Publishing, 2014. – 200 с.
  17. Adeel Daniel. Risk Management Practices in Finanacial Institutions of Pakistan. – М.: LAP Lambert Academic Publishing, 2013. – 72 с.

Образцы работ

Тема и предметТип и объем работы
Антикризисное финансовое управление.
Антикризисное управление
Диплом
87 стр.
Антикризисные мероприятия в торговой фирме
Антикризисное управление
Диплом
161 стр.
Место экономической безопасности в системе национальной безопасности
Экономическая безопасность
Диплом
93 стр.
Разработка антикризисной программы предприятия "Санаторий профилакторий"
Антикризисное управление
Диплом
148 стр.



Задайте свой вопрос по вашей теме

Гладышева Марина Михайловна

marina@studentochka.ru
+7 911 822-56-12
с 9 до 21 ч. по Москве.
Контакты
marina@studentochka.ru
+7 911 822-56-12
с 9 до 21 ч. по Москве.
Поделиться
Мы в социальных сетях
Реклама



Отзывы
Юрий
Спасибо вам за консультации по диплому. Я вчера защитился на 5 баллов! Буду вас всем рекомендовать!!! :) Всего Вам хорошего !!!