Risk Management in Banking, 2nd Edition BY Joël Bessis

Risk Management in Banking, 2nd Edition BY Joël Bessis
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Risk Management in Banking, 2nd Edition

BY Joël Bessis



Publisher: John Wiley & Sons; 2 edition (March 15, 2002)



Review

"ˇ­this book is the right book to start working with Risk Management in bankingˇ­this book is worth every pennyˇ­" (MCSE Mag, 24 Janury 2003) "ˇ­This book is the right book to start working with Risk Management in Bankingˇ­this book is worth every pennyˇ­" (www.mcsemag.eu.org, 20 March 2003)

"ˇ­this book is the right book to start working with Risk Management in bankingˇ­this book is worth every pennyˇ­" (MCSE Mag, 24 January 2003)

"ˇ­This book is the right book to start working with Risk Management in Bankingˇ­this book is worth every pennyˇ­" (www.mcsemag.eu.org, 20 March 2003) --This text refers to an out of print or unavailable edition of this title.





Product Description

This greatly expanded new edition of Joël Bessis' seminal work Risk Management in Banking has been comprehensively revised and updated to take into account the changing face of risk management. Extensive new material has been included to reflect new developments in the field and to broaden the scope of the work.

Risk Management in Banking Second Edition examines all aspects of financial risk management in banking, from global considerations right down to the fundamental aspects of the management of a particular profit centre. The author emphasizes the need to understand conceptual and implementation issues of risk management and examines the latest techniques and practical issues, including:



Value at Risk (VaR)

Asset Liability Management (ALM)

Credit Risk

Interest Rate Risk (IRR)

Funds Transfer Pricing

Credit Derivatives

Market Portfolio Risk

Capital Management

Loan Portfolio Models

Building on the already considerable success of this classic work, the second edition is an indispensable text for MBA students, practitioners in banking and financial services, bank regulators and auditors.