Physical Collection
Digital Collection
Database / E-Book
Feedback
Collection Recommendation
Satisfaction survey
Please take a moment to complete this survey below
Library's collection
Library's IT development
Cancel
Risk management and shareholders' value in banking : from risk measurement models to capital allocation policies
Author
Resti, Andrea
Additional Author(s)
Sironi, Andrea
Publisher
Chichester, West Sussex: John Wiley & Sons Ltd, 2007
Language
English
ISBN
9780470029787
Series
-
Subject(s)
BANK MANAGEMENT
ASSET-LIABILITY MANAGEMENT
RISK MANAGEMENT
BANK AND BANKING-VALUATION
Notes
Bibliography : p. 759 - 770. Index : p. 771 - 782
Abstract
-
Physical Dimension
Number of Page(s)
xxv, 782 p.
Dimension
25 cm.
Other Desc.
ill.
Summary / Review / Table of Content
No summary / review / table of content available!
Exemplar(s)
#
Accession No.
Call Number
Location
Status
1.
01630/08
332.10681 Res R
Library - 7th Floor
Available
Similar Collection
by author or subject
Bank financial management
Analisis empiris sumber daya perusahaan pada industri perbankan di Indonesia dengan pendekatan Resource-Based View (RBV)
Pengaruh personality traits terhadap risk tolerance dan investment intentions penduduk di Surabaya
Contemporary issues in bank financial management
Handbook of the fundamentals of financial decision making
Pengaruh kesehatan bank terhadap pertumbuhan laba perusahaan perbankan di bursa efek Indonesia periode 2008-2011
Analisis pengaruh efisiensi terhadap return saham bank swasta nasional devisa yang terdaftar di Bursa Efek Indonesia (BEI) periode 2004-2008
Analisis hubungan pemberian kredit per sektor terhadap return on earning asset (ROEA)