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TitleManaging bank risk : an introduction to broad-base credit engineering
Author Morton Glantz
Imprint Boston : Academic Press, 2003
Descript xx, 667 p. : ill. ; 24 cm

CONTENT

Part 1: New approaches to fundamental analysis -- Introduction to bank risk management -- Accounting standards, flags, and distortions -- Multivariate ratio analysis : a banker's guide -- Credit analysis of seasonal businessses: an integrated approach -- Asset-based lending -- Cash flow analysis : a banker's guide -- Projections and risk assessment -- Risk management and sustainable growth -- Financial distress : recongnition and diagnosis of troubled loans -- Part 2: Credit administration -- Establishing a risk management area -- Capital adequacy -- Portfolio maintenance : an overview -- Portfolio management of default risk -- EDF credit measure -- Credit derivatives : new instruments to trade credit risk =-- An overview of risk-adjusted return on capital (RAROC) and creditmetrics -- Global exposure tracking systems : application and design -- Pricing models : design and application -- Risk rating models : design and application


Asset-liability management Bank management Risk management

LOCATIONCALL#STATUS
Sasin Library332.10681 G545M 2003CHECK SHELVES
Sasin Library332.10681 G545M 2003CIR DESK

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