Risk management for central banks and other public investors / Ulrich Bindseil, Fernando Gonzalez and Evangelos Tabakis
Material type: TextPublication details: Cambridge : Cambridge University Press, 2009Description: xxvi, 514p, 26cmISBN:- 9780521518567
- 332.110681 BIN
Item type | Current library | Call number | Status | Date due | Barcode | Item holds | |
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Book | Raipur | 658.155 BIN-09 (Browse shelf(Opens below)) | Available | IIMRP-5518 |
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658.155 BAG-13 Treasury risk management | 658.155 BAY-14 Foreign investments and political regimes: the oil sector in Azerbaijan, Russia, and Norway | 658.155 BES-14 Risk management In banking | 658.155 BIN-09 Risk management for central banks and other public investors / | 658.155 BRI-13 Counterparty credit risk, collateral and funding : | 658.155 CAR-06 Risks of financial institutions | 658.155 CHA-13 An Introduction to Derivative |
Domestic and foreign financial assets of all central banks and public wealth funds worldwide are estimated to have reached more than USD 12 trillion in 2007. How do these institutions manage such unprecedented growth in their financial assets and how have they responded to the revolution of risk management techniques during the last fifteen years? This book surveys the fundamental issues and techniques associated with risk management and shows how central banks and other public investors can create better risk management frameworks.
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