Now showing items 126-130 of 167

    • Financial institutions management : a risk management approach 

      Saunders, Anthony; Cornett, Marcia Millon; Erhemjamts, Otgo (McGraw-Hill, 2021)
      This book provides an innovative approach that focuses on managing return and risk in modern financial institutions. The central theme is that the risks faced by financial institutions managers and the methods and markets ...
    • Financial institutions instruments and markets 

      Viney, Christopher (McGraw-Hill, 2007)
      Provides coverage on industry developments in banking and capital adequacy regulations. This book uses examples which are relevant and assists students in relating to real-world scenarios. It includes reflection points ...
    • Auditing & assurance services : a systematic approach 

      Messier, William F.; Glover, Steven M.; Prawitt, Douglas F. (McGraw-Hill, 2008)
      The primary purpose for an auditing text is not to serve as a reference manual but to facilitate student learning, and this text is written accordingly. The text is accessible to students through straightforward writing ...
    • Value at risk : the new benchmark for managing financial risk 

      Jorion, Philippe (McGraw-Hill, 2007)
      Since its original publication, Value at Risk has become the industry standard in risk management. Now in its Third Edition, this international bestseller addresses the fundamental changes in the field that have occurred ...
    • The economics of money, banking, and financial markets 

      Mishkin, Frederic S. (Pearson, 2016)
      This book brings a fresh perspective to today’s major questions surrounding financial policy. Influenced by his term as Governor of the Federal Reserve, Frederic Mishkin offers students a unique viewpoint and informed ...