Governance, Risk Management, Financial Regulation and Compliance / Najlacnejšie knihy
Governance, Risk Management, Financial Regulation and Compliance

Kód: 01338830

Governance, Risk Management, Financial Regulation and Compliance

Autor Vijay Govindarajan

A real-world guide to understanding and tackling the strategic, risk, regulatory and compliance challenges of the financial sector There are many good books on each of the four topics covered in this unique guide. Yet, surprising ... celý popis

63.11

Bežne: 65.79 €

Ušetríte 2.68 €


Očakávaná novinka
Termín neznámy

Informovať o naskladnení

Pridať medzi želanie

Mohlo by sa vám tiež páčiť

Darujte túto knihu ešte dnes
  1. Objednajte knihu a vyberte Zaslať ako darček.
  2. Obratom obdržíte darovací poukaz na knihu, ktorý môžete ihneď odovzdať obdarovanému.
  3. Knihu zašleme na adresu obdarovaného, o nič sa nestaráte.

Viac informácií

Informovať o naskladnení knihy

Informovať o naskladnení knihy


Súhlas - Odoslaním žiadosti vyjadrujem Súhlas so spracovaním osobných údajov na marketingové účely.

Zašleme vám správu akonáhle knihu naskladníme

Zadajte do formulára e-mailovú adresu a akonáhle knihu naskladníme, zašleme vám o tom správu. Postrážime všetko za vás.

Viac informácií o knihe Governance, Risk Management, Financial Regulation and Compliance

Nákupom získate 156 bodov

Anotácia knihy

A real-world guide to understanding and tackling the strategic, risk, regulatory and compliance challenges of the financial sector There are many good books on each of the four topics covered in this unique guide. Yet, surprisingly, until now there were none offering an integrated approach to all four. If the financial crisis has taught us anything, it's that the time is long past when financial firm directors, senior managers, compliance professionals and regulators could operate effectively or ethically without being fully cognizant of the dynamic interconnect between risk management, financial regulation, corporate governance and compliance. Written by a world-class expert in the field, this book provides advanced real-world guidance on understanding and tackling the inextricably linked challenges of all four. Based on the author's extensive experience as both an academic researcher and a risk management professional to offer a unique, integrated approach to all four topics Explores the fundamentals of financial intermediation and describes the functions, objectives and strategic choices available to each of the various market sectors Provides a taxonomy of key risks, along with in-depth coverage of risk appetite-a subject rarely covered in current literature Covers the gamut of regulatory tools and techniques, with expert guidance on Basel 2, Dodd-Frank, Solvency 2, UCITS, MIFIC, TCF, the FSA Handbook, SEC rules, and codes of corporate governance

Parametre knihy

Zaradenie knihy Knihy po anglicky Economics, finance, business & management Business & management Management & management techniques

63.11

Obľúbené z iného súdka



Osobný odber Bratislava a 2642 dalších

Copyright ©2008-24 najlacnejsie-knihy.sk Všetky práva vyhradenéSúkromieCookies


Môj účet: Prihlásiť sa
Všetky knihy sveta na jednom mieste. Navyše za skvelé ceny.

Nákupný košík ( prázdny )

Vyzdvihnutie v Zásielkovni
zadarmo nad 59,99 €.

Nachádzate sa: