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- 2009050894 contributor B11454157.
- 2009050894 created "2010.".
- 2009050894 date "2010".
- 2009050894 date "2010.".
- 2009050894 dateCopyrighted "2010.".
- 2009050894 description "Includes bibliographical references and index.".
- 2009050894 description "Why are banks supervised? -- International bank regulation -- The bank capital calculation -- Credit risk -- The standardized approach -- Model based approaches to risk weighting -- The internal ratings based approach -- Netting, collateral, and credit risk mitigation -- The trading book -- Securities underwriting -- Trading book models -- Credit derivatives -- Counterparty risk -- Counterparty credit risks for derivatives, securities financing, and long settlement exposures -- Securitization and repackaging -- Operational risk requirements -- Concentration and large exposures -- Liquidity -- Group supervision -- Financial conglomerates -- Cross-border and international supervision of bank groups -- Pillar three- disclosure requirements.".
- 2009050894 extent "xxvi, 392 p. :".
- 2009050894 identifier "9780199215348 (hardback : alk. paper)".
- 2009050894 issued "2010".
- 2009050894 issued "2010.".
- 2009050894 language "eng".
- 2009050894 publisher "Oxford ; New York : Oxford University Press,".
- 2009050894 subject "346.08215 22".
- 2009050894 subject "Asset-liability management Law and legislation.".
- 2009050894 subject "Banks and banking, International Law and legislation.".
- 2009050894 subject "Banks and banking, International Management.".
- 2009050894 subject "Basel II (2004)".
- 2009050894 subject "K1066 .G58 2010".
- 2009050894 subject "Risk management Law and legislation.".
- 2009050894 tableOfContents "Why are banks supervised? -- International bank regulation -- The bank capital calculation -- Credit risk -- The standardized approach -- Model based approaches to risk weighting -- The internal ratings based approach -- Netting, collateral, and credit risk mitigation -- The trading book -- Securities underwriting -- Trading book models -- Credit derivatives -- Counterparty risk -- Counterparty credit risks for derivatives, securities financing, and long settlement exposures -- Securitization and repackaging -- Operational risk requirements -- Concentration and large exposures -- Liquidity -- Group supervision -- Financial conglomerates -- Cross-border and international supervision of bank groups -- Pillar three- disclosure requirements.".
- 2009050894 title "International regulation of banking : Basel II, capital and risk requirements / Simon Gleeson.".
- 2009050894 type "text".