000 01365cam a2200301 a 4500
008 080825s2009 enka b 001 0 eng
020 _a9780521518567 (hardback : alk. paper)
020 _a0521518563 (hardback : alk. paper)
040 _aDLC
_cDLC
050 0 0 _aHG1811
_b.R57 2009
082 0 0 _a332.1’10681
_bRIS
245 0 0 _aRisk management for central banks and other public investors /
260 _aCambridge, UK ;
_aNew York :
_bCambridge University Press,
_c2009.
300 _axxvi, 514 p. :
504 _aIncludes bibliographical references (p. 490-506) and index.
520 _aThis book surveys the fundamental issues and techniques associated with risk management and shows how central banks and other public investors can create better risk management frameworks. Each chapter looks at a specific area of risk management, first presenting general problems and them showing how these materialize in the special case of public institutions.
590 _anmn 3/06/13, rpm 13/02/14
591 _aLoans
650 0 _aBanks and banking, Central.
650 0 _aRisk management.
650 0 _aPortfolio management.
700 1 _aBindseil, Ulrich,
700 1 _aGonzález, Fernando,
700 1 _aTabakis, Evangelos.
856 4 1 _uhttp://www.loc.gov/catdir/toc/ecip0827/2008037141.html
942 _2ddc
_cBOOK
949 _a332.1'10681 RIS
999 _c375
_d375