This volume of essays comprises a systematic collection of views from scholars and practitioners on the future of financial systems and services and reflects the fact that the financial industry wo…
Managing Bank Risk reformulates proven concepts of credit risk management in the context of contemporary best practice techniques in portfolio management. Professor Glantz provides print and electr…
Risiko Finansial menjadi pembahasan semua pihak dalam lima tahun terakhir setelah Basel II meminta semua bank harus memperkirakannya. Awalnya, Risiko Finansial merupakan risiko yang dihadapi perusa…
Pembahasan mengenai ekonomi keuangan (Finansial Econimics) Finansial Econimics masih terus berkembang dikarenakan instrumen keuangan tersebut terus berkembang (berinovasi). Akibatnya,penilaian atas…
Pengusaha selalu ingin tahu berapa nilai perusahaan yang dikelolanya, biasanya hanya menyebit nilai total asset perusahaan. Padahal seringkali nilai total asset tidak sama dengan nili perusahaan. N…
This study concentrates on key management issues in banking, including risk management, regulation, strategic plans and competition. Throughout the text, case studies and examples are used to illus…
This book's descriptive, balanced overview of the U.S. financial system, its primary institutions and markets, coupled with an introduction to international markets, creates a presentation truly re…
Updated to meet a continuing interest in the rapidly evolving Eurobond market, this edition includes new material on SWAPS, securitization and the likely effects of the move to a market economy by …
This book presents a comprehensive examination of the deregulation of financial markets that began in the United States in the mid-1960s and has now reached global proportions. The author examines …
Edisi keenam dari buku yang membahas seluk beluk bank dan lembaga keuangan di Indonesia ini telah disesuaikan dengan perkembangan mutakir dunia perbankan di tanah air, beberapa penambahan materi di…