出版社:陕西师范大学出版总社有限公司
年代:2014
定价:29.0
如何在新巴塞尔协议框架下进行银行管理,是目前商业银行正在研究的重要课题。本书在介绍银行基本业务的基础上,着重阐述新巴塞尔协议下银行管理的原则、方法和重点,并以巴塞尔协议的管理思想为脉络,提供了对商业银行各类风险进行有效管理的具体途径,并对相关风险管理办法给出了案例。
Chapter 1 An Overview of Commercial Banks
1.1 Introduction
1.2 The Etymology of the Word Bank
1.3 Bank Business
1.4 The Money Markets
1.5 The Financial System and Competing Financial- Service Institutions
1.6 Functions of Commercial Banks
1.7 Bank System in China
Chapter 2 Capital Management
2.1 Definition of Capital
2.2 Regulatory Issues
2.3 Capital Adequacy
2.4 Capital Management Strategies
2.5 Basel and Capital Management
Chapter 3 Liability Management
3.1 Overview of liability
3.2 Deposit Financing Source
3.3 Non - deposit Financing Source
3.4 Liability Management: Theories and Strategies
3.5 Basel
Chapter 4 Asset Management
4.1 The Composition of Cash Assets
4.2 Asset Position
4.3 Asset Management
Chapter 5 Non-interest Income Activities Management
5.1 The Development of Non-interest Income Activities
5.2 Structure of Non-interest Income Activities
5.3 Non-interest Income Business Management
5.4 Basel III
Chapter 6 International Business of Commercial Banks
6.1 Overview of International Business of Commercial Banks
6.2 International Business of Commercial Banks
6.3 The Relevant Provisions of the Basel III on the International Business of Commercial Banks
6.4 Analysis of the Internal Management of International Business of Commercial Banks
6.5 China's International Banking Business
Chapter 7 Credit Risk Management
7.1 Credit Risk
7.2 Credit Risk Management
7.3 Credit Risk for Banking Transactions
7.4 Credit Risk for Market Instruments
Chapter 8 Interest Rate Risk Management
8.1 The Definition of Commercial Bank Interest Rate Risk
8.2 Commercial Bank Interest Rate Risk Measurement
8.3 Commercial Bank Interest Rate Risk Management Strategy
Chapter 9 Market Risk Management
9.1 The Definition of Commercial Bank Market Risk
9.2 Commercial Bank Market Risk Measurement
9.3 Commercial Bank Market Risk Management
Bibliography
如何在新巴塞尔协议框架下进行银行管理,是目前商业银行正在研究的重要课题。《银行管理》在介绍银行基本业务的基础上,着重阐述新巴塞尔协议下银行管理的原则、方法和重点,并以巴塞尔协议的管理思想为脉络,提供了对商业银行各类风险进行有效管理的具体途径,并对相关风险管理办法给出了案例。
书籍详细信息 | |||
书名 | 银行管理站内查询相似图书 | ||
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出版地 | 西安 | 出版单位 | 陕西师范大学出版总社有限公司 |
版次 | 1版 | 印次 | 1 |
定价(元) | 29.0 | 语种 | 英文 |
尺寸 | 19 × 26 | 装帧 | 平装 |
页数 | 印数 |
银行管理是陕西师范大学出版总社有限公司于2014.1出版的中图分类号为 F830.2 的主题关于 银行管理-英文 的书籍。