Editore: Deep & Deep Publications Pvt. Ltd. Deep & Deep, 2007
ISBN 10: 8184500165 ISBN 13: 9788184500165
Da: Books Puddle, New York, NY, U.S.A.
Condizione: New. pp. xv + 432 Index.
Editore: Deep & Deep Publications Pvt. Ltd., 2007
ISBN 10: 8184500165 ISBN 13: 9788184500165
Da: Majestic Books, Hounslow, Regno Unito
Condizione: New. pp. xv + 432.
Editore: Deep & Deep, New Delhi, 2007
ISBN 10: 8184500165 ISBN 13: 9788184500165
Da: Books in my Basket, New Delhi, India
Soft cover. Condizione: New. ISBN: 9788184500165, 448pp.
Editore: Vikas Publishing House (P) Ltd., 2016
ISBN 10: 9325994054 ISBN 13: 9789325994058
Da: Books Puddle, New York, NY, U.S.A.
Condizione: New. pp. 660.
Editore: Vikas Publishing House (P) Ltd., 2016
ISBN 10: 9325994054 ISBN 13: 9789325994058
Da: Majestic Books, Hounslow, Regno Unito
Condizione: New. pp. 660.
Editore: Academic Foundation Acedemic Found., 2014
ISBN 10: 9332701393 ISBN 13: 9789332701397
Da: Books Puddle, New York, NY, U.S.A.
Condizione: New. pp. 396.
Editore: Academic Foundation, 2014
ISBN 10: 9332701393 ISBN 13: 9789332701397
Da: Majestic Books, Hounslow, Regno Unito
Condizione: New. pp. 396 Figures.
Editore: Deep & Deep, New Delhi, 2007
ISBN 10: 8184500157 ISBN 13: 9788184500158
Da: Books in my Basket, New Delhi, India
N.A. Condizione: New. ISBN: 9788184500158, 448pp.
Editore: Academic Foundation, Gurgaon, 2014
ISBN 10: 9332701393 ISBN 13: 9789332701397
Da: Books in my Basket, New Delhi, India
Hardcover. Condizione: New. 396pp.
Editore: Irwin Professional Pub, 1996
ISBN 10: 0786309644 ISBN 13: 9780786309641
Da: The Book Spot, Sioux Falls, SD, U.S.A.
Hardcover. Condizione: New.
Editore: Deep and Deep, 2018
ISBN 10: 8184500157 ISBN 13: 9788184500158
Da: Vedams eBooks (P) Ltd, New Delhi, India
Hardcover. Condizione: As New. Dust Jacket Included. Contents Preface. I. Concept of risk management 1. Risk management the banking perspective/Prabhat Singhal. 2. Risk management in micro finance/N. Jeyaseelan. 3. Managing risk a challenging task/Chitta Ranjan Sarkar. 4. Operational risk management in banks/S.K. Bagchi. 5. Operational risk management systems and process/V. Ramaswamy. 6. Operational risk a real nightmare/A.S. Rajeev. 7. Credit as well as credit risk management in banks/R.S. Raghavan. 8. Enterprise risk management an eye opener/V. Sreeraman. 9. Strategic risk management/Vishnu Kanhere. 10. Corporate governance risk management and internal audit/Narendra M. Apte. 11. Managing exchanging risks/Yogesh Upadhyay and S.K. Singh. 12. Role of logistics in supply chain management/Anil Chandra Pathak. II. Finance and risk 13. Risk finance/B. Ratna Ravikumar. 14. Venture capital the need of the hour/K.V. Mallik. 15. Venture capital/Sawalia Bihari Verma and Ravi Kumar Shrivastawa. 16. Taxation of banks and financial institutions/Barun Kumar Ghosh. 17. Audit risk its relevance assessment and minimization/Barun Kumar Ghosh. 18. Product costing and pricing in banks/Mrutyunjaya Padhan. III. Audit and risk 19. Financial crimes and IS audit/Y. Srinivas. 20. Concentrate on personal financial management its high time/Suvendu Bose. 21. Risk based supervision and risk/R.S. Raghavan. 22. Risk based supervision/V.V. Kamath. 23. Changing horizon of insurance sector/Sam Ghosh. 24. Insuring life/H. Sadhak. 25. Career in actuarial science/Hena Naqvi. IV. Risk in insurance sector 26. Preserving capital and maximizing shareholder return/Manish Kumar Jain. 27. New accounting framework in insurance industry/R.C. Guria. 28. Insurance a booming professional opportunity/N.D. Gupta. 29. National company law tribunal and appellate tribunal/Gopal Pd. Dokania. V. Risk in banking sector 30. Bank credit risk and profitability/S.B. Singh. 31. New approaches to fraud deterrence/Joseph T. Wells. 32. Forex Market Intervention sterilisation and market stabilisation fund/Kanchana Khanna. 33. Minimum capital requirement Pillar I/P.V. Subba Rao. 34. Statutory audit of bank treasury/Shyam Ramadhyani. 35. Untapped opportunities in bankassurance/P.P. Pathrose. 36. Treasury integration the process/A.K. Trivedi. 37. Use of derivatives to manage market risk/Niall S.K. Booker. 38. Audit of Forex transactions/K. Parameswaran. Index. There is a basic shift in the paradigm of risk management practices and has placed greater emphasis on the successful identification quantification mitigation control and financing of risk. Evolving concepts of risk are leading to complex management perspectives requiring an integrated view of the finances and operations of a corporation. Today's risk manager must generate a comprehensive context of risks faced by the enterprises. The process of risk management involves the following Recognition and understanding measurement and monitoring and control. In order to effective risk management a comprehensive risk management policy has to be formulated incorporating a detailed structure of limits and guidelines to be followed and a Strong Management Information System (MIS) build up for continuous monitoring and reporting of risk exposures. 432 pp.
Editore: Irwin Professional Publishing, 1996
ISBN 10: 0786309644 ISBN 13: 9780786309641
Da: WeBuyBooks, Rossendale, LANCS, Regno Unito
Condizione: Good. Most items will be dispatched the same or the next working day. Previous owners name inside the front page/cover.
Editore: Academic Foundation, 2015
ISBN 10: 9332701393 ISBN 13: 9789332701397
Da: dsmbooks, Liverpool, Regno Unito
Hardcover. Condizione: Like New. Like New. book.
Editore: Irwin Professional Pub, 1996
ISBN 10: 0786309644 ISBN 13: 9780786309641
Da: dsmbooks, Liverpool, Regno Unito
Hardcover. Condizione: Good. Good. book.