Financial institutions management : a risk management approach / Anthony Saunders, Marcia Millon Cornett and Otgontsetseg Erhemjamts
Material type:
TextSeries: McGraw-Hill/Irwin series in finance, insurance, and real estatePublication details: New York : McGraw-Hill Education, 2021Edition: 10th edDescription: xxiii, 920 pISBN: - 9781260571479
- T 332.1068 SAU-F
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| UMT Main Campus | T 332.1068 SAU-F (Browse shelf(Opens below)) | C.2 | Available | 153704 | |
| UMT Main Campus | 332.1068 SAU-F (Browse shelf(Opens below)) | Available | 152754 |
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| T 332.015118 BEN-F Financial modeling | T 332.0285554 BEN-P Principles of finance with Excel | T 332.1 MON- Money & banking (FN-450) [BBA (H), Fall 2010] | T 332.1068 SAU-F Financial institutions management : a risk management approach / | T 332.645 NAS-D Dynamic hedging | T 332.8229719785 IMR-P The prohibition of riba elaborated | T 333.92 SIR-W Wind energy |
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The last 35 years have been dramatic for the financial services industry. In the 1990s and 2000s, boundaries between the traditional industry sectors, such as commercial banking and investment banking, broke down, and competition became increasingly global in nature. Many forces contributed to this breakdown in interindustry and intercountry barriers, including financial innovation, technology, taxation, and regulation. Then in 2008-09, the financial services industry experienced the worst financial crisis since the Great Depression. Even into the mid-2010s, the U.S. and world economies had not recovered from this crisis. It is in this context that this book is written.
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