
Financial Institutions Management: A Risk Management Approach, 10th Edition
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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, off-balance-sheet banking, and international banking.
Ch. 1 Why Are Financial Institutions Special?
Ch. 2 Financial Services: Depository Institutions
Ch. 3 Financial Services: Finance Companies
Ch. 4 Financial Services: Securities Firms and Investment Banks
Ch. 5 Financial Services: Mutual Fund and Hedge Fund Companies
Ch. 6 Financial Services: Insurance Companies
Ch. 7 Risks of Financial Institutions
PART TWO: Measuring Risk
Ch. 8 Interest Rate Risk I
Ch. 9 Interest Rate Risk II
Ch. 10 Credit Risk: Individual Loan Risk
Ch. 11 Credit Risk: Loan Portfolio and Concentration Risk
Ch. 12 Liquidity Risk
Ch. 13 Foreign Exchange Risk
Ch. 14 Sovereign Risk
Ch. 15 Market Risk
Ch. 16 Off-Balance-Sheet Risk
Ch. 17 Technology and Other Operational Risks
Ch. 18 Fintech Risks
PART THREE: Managing Risk
Ch. 19 Liability and Liquidity Management
Ch. 20 Deposit Insurance and Other Liability Guarantees
Ch. 21 Capital Adequacy
Ch. 22 Product and Geographic Expansion
Ch. 23 Futures and Forwards
Ch. 24 Options, Caps, Floors, and Collars
Ch. 25 Swaps
Ch. 26 Loan Sales
Ch. 27 Securitization
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