000 01779nam a2200301 a 4500
005 20250918162133.0
008 120521s2011 si a 001 0 eng
020 _a9780470827192 (hbk.)
_cRM144.01
039 9 _a201206221604
_bariff
_c201206211636
_dmaslia
_y05-21-2012
_zsanusi
040 _aUKM
090 _aHG1615.B344
090 _aHG1615
_b.B344
245 0 0 _aBanks at risk :
_bglobal best practices in an age of turbulence /
_c[compiled by] Peter Hoflich.
260 _aSingapore :
_bJohn Wiley & Sons (Asia),
_c2011.
300 _axi, 236 p. :
_bill. ;
_c24 cm.
504 _aIncludes bibliographical references and index.
505 0 _aEffective 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.
650 0 _aBank management.
650 0 _aBanks and banking
_xRisk management.
700 1 _aHoflich, Peter.
907 _a.b15374300
_b2019-11-12
_c2019-11-12
942 _c01
_n0
_kHG1615.B344
914 _avtls003502010
990 _amms
991 _aFakulti Ekonomi dan Pengurusan
998 _at
_b2012-08-05
_cm
_da
_feng
_gsi
_y0
_z.b15374300
999 _c521086
_d521086