Book Description:
ISBN-13: 9781259717772
The book “Financial Institutions Management: A Risk Management Approach (9th Edition)” provides a comprehensive overview of the financial services industry, focusing on the management of risk within financial institutions. The book covers topics such as the role of financial institutions in the economy, the regulatory environment, and the various types of financial institutions including banks, insurance companies, and investment firms.
The authors delve into the intricacies of risk management within financial institutions, discussing topics such as credit risk, market risk, and operational risk. They also explore the importance of capital adequacy and liquidity management in ensuring the stability and success of financial institutions.
Additionally, the book examines the impact of technological advancements and globalization on the financial services industry, as well as the ethical considerations that financial institutions must navigate in their operations.
“Financial Institutions Management: A Risk Management Approach” provides a thorough and up-to-date analysis of the challenges and opportunities facing financial institutions in today’s dynamic and complex environment. It is a valuable resource for students, professionals, and anyone interested in understanding the intricacies of financial institutions and risk management.
This edition retains the full content with the added advantage of portability, allowing readers to easily access and engage with the material from any device, whether in a classroom or during fieldwork.