Gerald Hanweck

INTEREST RATE VOLATILITY

Understanding,analyzing and managing interest rate risk and risk-based capital

ΣΤΟΙΧΕΙΑ ΒΙΒΛΙΟΥ

ΕΤΟΣ ΕΚΔΟΣΗΣ1996
ΣΕΛΙΔΕΣ175
ΙSBN1-55738-768-0
ΕΚΔΟΤΗΣMcGraw-Hill Publishers

Takes a multifaceted look at the major issues of interest rate risk management, including a controversial new tie-in to risk-based capital. This definitive text inlcudes a review of the major types of risk affecting financial institutions and the critical issues affecting financial institutions and the critical issues affecting risk-based capital, included the impact on asset-liability management.