Financial Risk Management in Banking: Evidence from Asia Pacific (Banking, Money and International Finance) - Tapa blanda

Libro 16 de 38: Banking, Money and International Finance

Zakaria, Shahsuzan; Islam, Sardar

 
9780367784232: Financial Risk Management in Banking: Evidence from Asia Pacific (Banking, Money and International Finance)

Sinopsis

This book will help banks to improve their risk management practices by proposing a new method for measuring risk management efficiency, integrating two elements: (i) a non-parametric approach known as Data Envelopment Analysis (DEA); and (ii) a Dollar-offset Ratio (DOR) method of hedge effectiveness tests.

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Acerca del autor

Shahsuzan Zakaria, PhD, is an Assistant Professor at the Faculty of Business and Management, Universiti Teknologi MARA (UiTM), Kelantan, Malaysia.

Sardar M. N. Islam, PhD, is currently a Professor of Economic Studies (and has also been a Professor of Business, Economics and Finance (2007–2017)) at Victoria University, Melbourne, Australia.

"Sobre este título" puede pertenecer a otra edición de este libro.

Otras ediciones populares con el mismo título

9781138388277: Financial Risk Management in Banking: Evidence from Asia Pacific: 17 (Banking, Money and International Finance)

Edición Destacada

ISBN 10:  1138388270 ISBN 13:  9781138388277
Editorial: Routledge, 2019
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