000 01268cam a22002054a 4500
005 20250605163947.0
008 250528s ||||||||||||||||||||||||d
035 _a15248
020 _a71132996
040 _aGR-AtMCL
_bgre
_dGR-AtMCL
_eAACR2
245 1 _aRisk Management / Problems & Solutions
260 _bMcgraw Hill, Inc,
_c1995
300 _a370
520 _aPreface, Dimensions of Risk Management: Definition and Implications for Financial Services, Nuclear Financial Economics, The Geometry of Commercial Bank Balance Sheet Management, Debt Management and Interest Rate Risk, Managing Mortgage Risks, Elements of Quantitative Risk Management, Should Firms Use Derivatives to Manage Risk?, Valuation Risk and Financial Reporting, Risk Measurement, Operating Risk in Financial Services, Risk Management and New Financial Products, Bank Capital Requirements and Incentives for Lending, Comparative Risk Management Practices: Japan Versus The U.S., Yield Curve Risk Management for Government Bond Portfolios: An International Comparison, The Internal Call Market: A Clean and Well-Lighted Place to Trade, The Future of Futures.
700 1 _aBeaver H. William
_91139
700 1 _aParker George
_91140
942 _cBK
999 _c841
_d841