Title
Financial Institutions Management: A Risk Management Approach,Used
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Saunders and Cornett's Financial Institutions Management: A Risk Management Approach provides an innovative approach that focuses on managing return and risk in modern financial institutions. The central theme is that the risks faced by financial institutions managers and the methods and markets through which these risks are managed are becoming increasingly similar whether an institution is chartered as a commercial bank, a savings bank, an investment bank, or an insurance company. Although the traditional nature of each sector's product activity is analyzed, a greater emphasis is placed on new areas of activities such as asset securitization, offbalancesheet banking, and international banking.
⚠️ WARNING (California Proposition 65):
This product may contain chemicals known to the State of California to cause cancer, birth defects, or other reproductive harm.
For more information, please visit www.P65Warnings.ca.gov.
- Q: How many pages are in this book? A: This book has nine hundred twelve pages. It provides extensive coverage of risk management in financial institutions.
- Q: What are the dimensions of this book? A: The dimensions are eight point twenty-five inches in length, one point eighty-one inches in width, and ten point thirty-one inches in height. These measurements make it a standard hardcover size.
- Q: Who is the author of this book? A: The author is Anthony Saunders. He is a well-regarded figure in the field of financial management.
- Q: What is the binding type of this book? A: This book is bound in hardcover. This type of binding is known for its durability and longevity.
- Q: What is the primary focus of this book? A: The primary focus is on risk management in financial institutions. It explores both traditional and modern methods of managing financial risks.
- Q: Is this book suitable for beginners? A: Yes, this book is suitable for beginners. It introduces fundamental concepts of financial institutions and risk management.
- Q: What topics are covered in this book? A: Topics include asset securitization, off-balance-sheet banking, and international banking. It also covers the risks faced by various financial institutions.
- Q: Can this book be used for academic purposes? A: Yes, this book is ideal for academic use. It is often used in finance and risk management courses.
- Q: Is there a glossary or index in this book? A: Yes, the book includes an index. This feature helps readers easily locate specific topics or terms.
- Q: How should this book be stored? A: Store this book upright on a shelf. This helps maintain its shape and prevents damage to the spine.
- Q: Is this book safe for children? A: Yes, this book is safe for older children. However, it is primarily designed for adults and students in higher education.
- Q: What is the recommended care for this book? A: To care for the book, keep it away from direct sunlight and moisture. This will help preserve its condition.
- Q: Can this book be used as a reference guide? A: Yes, this book serves as a comprehensive reference guide. It is suitable for professionals in the finance industry.
- Q: What if the book arrives damaged? A: If the book arrives damaged, you can contact customer support for a replacement. Most retailers offer a return policy for such issues.
- Q: Is there a warranty for this book? A: No, there is typically no warranty for books. However, you should check the retailer's return policy.
- Q: How can I get help if I have questions about this book? A: For questions, you can reach out to customer support or consult the publisher's website for additional information.