Description |
xi, 236 pages : illustrations ; 24 cm |
Contents |
Effective supervision of systemically important banks / Liu Mingkang -- Implications of the financial crisis for risk management and macroprudential supervision / Eric S. Rosengren, Joe Werkema -- Entering an era of global regulatory oversight / Jane Diplock -- Old and new lessons of the financial crisis for risk management / José Maria Roldán, Jesús Saurina -- Observations from the epicenter / Richard Kovacevich -- The financial crisis: epicenters and antipodes / Mike Smith -- The trouble with troubled banks / Shan Weijian -- Global risk management in action / Rob Close -- The credit crisis and its implications for Asian financial institutions / Tham Ming Soong -- Missing viewpoints of current global regulatory discussions / Tsuyoshi Oyama |
Summary |
Although risk management is acknowledged as an important area of expertise in any bank, it is often held hostage by the business side whenever a bottom line is involved-which is nearly always. With banks all over the world in crisis, most often caused by over-ambitious and imprudent business leaders, risk management is returning to the fore |
Notes |
Formerly CIP. Uk |
Bibliography |
Includes bibliographical references and index |
Subject |
Bank management.
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Banking law.
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Banks and banking -- Risk management.
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Global Financial Crisis, 2008-2009.
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Risk management.
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Author |
Hoflich, Peter.
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ISBN |
047082719X (hbk.) |
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9780470827192 (hbk.) |
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(Mobi) |
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(ePDF) |
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(ePub) |
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