Financial Services : Efficiency and Risk Management by Meryem Duygun Fethi (2012, Hardcover)

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Financial Services: : Efficiency and Risk Management, Hardcover by Fethi, Meryem Duygun (EDT); Gaganis, Chrysovalantis (EDT); Pasiouras, Fotios (EDT); Zopounidis, Constantin (EDT), ISBN 1621005607, ISBN-13 9781621005605, Brand New, Free shipping in the US

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Product Identifiers

PublisherNOVA Science Publishers, Incorporated
ISBN-101621005607
ISBN-139781621005605
eBay Product ID (ePID)110906141

Product Key Features

Book TitleFinancial Services : Efficiency and Risk Management
Number of Pages242 Pages
LanguageEnglish
Publication Year2012
TopicBanks & Banking, Economics / General
IllustratorYes
GenreBusiness & Economics
AuthorMeryem Duygun Fethi
Book SeriesStudies in Financial Optimization and Risk Management-Ser.
FormatHardcover

Dimensions

Item Weight21.5 Oz
Item Length10.2 in
Item Width7.1 in

Additional Product Features

LCCN2011-035669
Dewey Edition23
Dewey Decimal332.1094
Table Of ContentConsolidation & Performance in the EU Banking Industry: A Survey; Assessing the Adverse Effects of Interbank Funds on Bank Efficiency Through Using Semiparametric & Nonparametric Methods; One-Stage Approaches & Two-Stage Approaches in Data Envelopment Analysis: How Appropriate Are They for Analyzing Business Process Efficiency?; Measurement of Commercial Banks Performance in EU Countries: A Multi-Criteria Approach; Market Crashes & Basel Regulations. The Case of Developed, Emerging & Frontier Stock Markets; An Analysis of European Central Counterparty Clearing; Do Greek Mutual Funds Investing Abroad Outperform?; Accounting Choice Theory: Derivatives Fair Value in Banks in Brazil; Index.
SynopsisOver the last decade or so, firms in the financial services industry witnessed fundamental changes in their operating environment, such as deregulation, internationalisation, technological innovations, mergers and acquisitions, and more recently a global financial crisis. This book discusses various issues that relate to those changes, while placing particular emphasis on aspects of efficiency and risk management. Topics that are discussed in the book include among others, mergers and acquisitions, liquidity in the interbank market, the evaluation of bank performance with multi-criteria decision aid and frontier techniques, value-at-risk modelling, central clearing counter-parties, mutual funds, and derivatives and earnings management.
LC Classification NumberHG2974.F5646 2011

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