£76.76

McGraw-Hill Education Risk Management and Capital Adequacy (PROFESSIONAL FINANCE & INVESTM)

Price data last checked 10 day(s) ago - will refresh soon

View at Amazon

Price History & Forecast

Last 81 days • 81 data points (No recent data available)

Historical
Generating forecast...
£76.76 £74.35 £74.88 £75.40 £75.93 £76.45 £76.98 24 January 2026 13 February 2026 05 March 2026 25 March 2026 14 April 2026

Price Distribution

Price distribution over 81 days • 4 price levels

Days at Price
Current Price
18 days 34 days 3 days 26 days · current 0 9 17 26 34 £75 £75 £76 £77 Days at Price

Price Analysis

Most common price: £75 (34 days, 42.0%)

Price range: £75 - £77

Price levels: 4 different prices over 81 days

Description

This book presents a step-by-step approach for integrating market, credit, and operational risk management. While complying with New Basel Accord Guidelines for financial institutions around the world, the work involved in managing market, credit, and operational risk exposures - as well as the capital required to support such exposures - will change dramatically under the new Basel Accord guidelines. "Risk Management and Capital Adequacy" is the first book to examine how institutions can streamline programs by, wherever possible, integrating and simplifying risk management strategies and techniques.From analyses of the latest models and frameworks to case studies and examples of the devastating effects of unfocused or insufficient risk management, this in-depth examination reveals: building blocks for constructing an integrated, effective risk management framework; the three pillars of the Basel Accord - and what institutions must do to comply with each; and details behind financial disasters, from LTCM to Barings, and how they could have been prevented. While banks have an institutional interest in managing risk exposures, they also have a competitive interest in minimizing the capital required to offset those exposures. "Risk Management and Capital Adequacy" is the first book to outline an integrative framework for managing risks, and complying with the Basel Accord requirements, in the most cost-effective, capital-efficient, and competitively sound possible ways.The effective management of risk is a front-and-center topic for financial institutions. Charged with meeting everything from the newly fluid realities of global markets to the inflexible requirements of the Basel Accords, institutions are finding they must replace formalized and normative approaches with new types of risk management. These programs must be detailed enough to address the risks of today's dynamic markets yet adaptable enough to meet the needs of individual institutions and their requirements - while at the same time allowing decision-makers to demonstrate their willingness and capability to effectively handle unseen risk and increase shareholder value." Risk Management and Capital Adequacy" examines and explains today's key approaches for understanding and managing market, credit, and operational risk. The first book to provide practitioners with straightforward and hands-on techniques for integrating key risk management approaches, this all-inclusive resource covers topics such as: the history of modern risk management; regulatory mechanisms for managing risk; conceptual approaches for modeling market, credit, and operational risk; modern portfolio theory and the capital asset pricing model; uses and limitations of Value at Risk; the BIS risk-based capital requirement framework; KMV's credit monitor model; differences in credit versus market risk models; KPMG's Loan Analysis System and other risk-neutral valuation approaches; products with inherent credit risks; and, capital adequacy issues from regulatory and industry perspectives.It also includes Basel Committee on Banking Supervision and the New Basel Capital Accord Case studies of Metallgesellschaft, Sumitomo, LTCM, and Barings. Under the new Basel guidelines, all financial institutions subject to local banking laws will be required to adopt and operate under dramatically different risk exposure rules and guidelines. "Risk Management and Capital Adequacy" provides banking executives with an integrated risk management framework that is as seamless to implement as it is self-explanatory and complete. It is today's most across-the-board examination of where risk management stands today, which rules and guidelines are likely to change in the future, and how institutions can establish programs that meet risk management imperatives, limit risk capital requirements, and provide for the integration of risk management to cover the global spectrum of today's financial arena.

Product Specifications

Format
hardcover
Domain
Amazon UK
Release Date
16 April 2003
Listed Since
06 February 2007

Barcode

No barcode data available

Similar Products You Might Like

Analyzing and Managing Banking Risk: A Framework for Assessing Corporate Governance and Financial Risk (World Bank Training)
98% match

Analyzing and Managing Banking Risk: A Framework for Assessing Corporate Governance and Financial Risk (World Bank Training)

World Bank Publications

£42.95 14 Apr 2026
Risk Management Post Financial Crisis: A Period of Monetary Easing: 96 (Contemporary Studies in Economic and Financial Analysis, 96)
98% match

Risk Management Post Financial Crisis: A Period of Monetary Easing: 96 (Contemporary Studies in Economic and Financial Analysis, 96)

Parlux

£78.09 15 Apr 2026
Risk Management for Central Banks and Other Public Investors
98% match

Risk Management for Central Banks and Other Public Investors

Cambridge University Press

£77.67 21 Apr 2026
Risk Assessment and Financial Regulation in Emerging Markets' Banking: Trends and Prospects (Advanced Studies in Emerging Markets Finance)
98% match

Risk Assessment and Financial Regulation in Emerging Markets' Banking: Trends and Prospects (Advanced Studies in Emerging Markets Finance)

Springer

£135.49 19 Apr 2026
Bank Risk Management in Developing Economies: Addressing the Unique Challenges of Domestic Banks
98% match

Bank Risk Management in Developing Economies: Addressing the Unique Challenges of Domestic Banks

Academic Press

£62.59 19 Apr 2026
Securing Finance, Mobilizing Risk: Money Cultures at the Bank of England (RIPE Series in Global Political Economy)
98% match

Securing Finance, Mobilizing Risk: Money Cultures at the Bank of England (RIPE Series in Global Political Economy)

Routledge

£136.10 14 Apr 2026
Managing Risk and Opportunity: The Governance of Strategic Risk-Taking
98% match

Managing Risk and Opportunity: The Governance of Strategic Risk-Taking

Oxford University Press

£78.36 20 Apr 2026
Strategic Risk Management Practice: How to Deal Effectively with Major Corporate Exposures
98% match

Strategic Risk Management Practice: How to Deal Effectively with Major Corporate Exposures

Cambridge University Press

£21.60 20 Apr 2026
Engineering Risk and Finance: 188 (International Series in Operations Research & Management Science, 188)
98% match

Engineering Risk and Finance: 188 (International Series in Operations Research & Management Science, 188)

Springer

£117.08 14 Apr 2026
Successful Bank Asset/Liability Management: A Guide to the Future Beyond Gap
98% match

Successful Bank Asset/Liability Management: A Guide to the Future Beyond Gap

Wiley

£193.56 19 Apr 2026
New Perspectives on the Bank-Firm Relationship: Lending, Management and the Impact of Basel III (Palgrave Macmillan Studies in Banking and Financial Institutions)
98% match

New Perspectives on the Bank-Firm Relationship: Lending, Management and the Impact of Basel III (Palgrave Macmillan Studies in Banking and Financial Institutions)

MACMILLAN

£80.65 09 Apr 2026
Financial Risk Management: Identification, Measurement and Management
98% match

Financial Risk Management: Identification, Measurement and Management

Springer

£115.51 18 Apr 2026
The Risk in Risk Management: Financial Organizations & the Problem of Conformity
98% match

The Risk in Risk Management: Financial Organizations & the Problem of Conformity

Routledge

£136.45 17 Apr 2026
Global Risk Agility and Decision Making: Organizational Resilience in the Era of Man-Made Risk
98% match

Global Risk Agility and Decision Making: Organizational Resilience in the Era of Man-Made Risk

MACMILLAN

£39.00 14 Apr 2026
International Financial Co-Operation: Political Economics of Compliance with the 1988 Basel Accord: 47 (Routledge International Studies in Money and Banking)
98% match

International Financial Co-Operation: Political Economics of Compliance with the 1988 Basel Accord: 47 (Routledge International Studies in Money and Banking)

Routledge

£136.08 19 Apr 2026
Risk Management Technologies: With Logic and Probabilistic Models: 20 (Topics in Safety, Risk, Reliability and Quality, 20)
98% match

Risk Management Technologies: With Logic and Probabilistic Models: 20 (Topics in Safety, Risk, Reliability and Quality, 20)

Springer

£113.63 13 Apr 2026
Risk and Regulation in Global Securities Markets
98% match

Risk and Regulation in Global Securities Markets

Wiley

£65.00 19 Apr 2026
Financial Markets: Imperfect Information and Risk Management (Central Issues in Contemporary Economic Theory and Policy)
98% match

Financial Markets: Imperfect Information and Risk Management (Central Issues in Contemporary Economic Theory and Policy)

MACMILLAN

£123.97 18 Apr 2026
Risk Management: Unternehmensrisiken erkennen und bewältigen
98% match

Risk Management: Unternehmensrisiken erkennen und bewältigen

Gabler Verlag

£58.98 19 Apr 2026
Credit Risk Management and Analysis
98% match

Credit Risk Management and Analysis

Cognella Academic Publishing

£124.99 18 Apr 2026
ENTERPRISE RISK MANAGEMENT: 1 (Financial Engineering and Risk Management)
98% match

ENTERPRISE RISK MANAGEMENT: 1 (Financial Engineering and Risk Management)

World Scientific Publishing Company

£73.00 13 Apr 2026
Risk Measures for the 21st Century: 266 (The Wiley Finance Series)
98% match

Risk Measures for the 21st Century: 266 (The Wiley Finance Series)

Wiley

£97.99 15 Apr 2026
Effectiveness of Enterprise Risk Management: Determinants and Opportunities for Improvement
98% match

Effectiveness of Enterprise Risk Management: Determinants and Opportunities for Improvement

MACMILLAN

£83.32 16 Apr 2026
Decision Taking, Confidence and Risk Management in Banks from Early Modernity to the 20th Century (Palgrave Studies in the History of Finance)
98% match

Decision Taking, Confidence and Risk Management in Banks from Early Modernity to the 20th Century (Palgrave Studies in the History of Finance)

MACMILLAN

£121.29 19 Apr 2026