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Managing Financial Institutions / Edition 5
     

Managing Financial Institutions / Edition 5

by Mona J. Gardner, Dixie L. Mills, Elizabeth S. Cooperman
 

ISBN-10: 0324269315

ISBN-13: 9780324269314

Pub. Date: 07/28/2003

Publisher: Cengage Learning

This dynamic text allows learners to analyze and apply theory to managing performance for financial institutions. It is up-to-date, including new types of financial institutions and the evolving nature of the financial services industry. Not only does this text include risk management of financial institutions, it includes managing and analyzing different types of

Overview

This dynamic text allows learners to analyze and apply theory to managing performance for financial institutions. It is up-to-date, including new types of financial institutions and the evolving nature of the financial services industry. Not only does this text include risk management of financial institutions, it includes managing and analyzing different types of financial institutions. Additionally, this text provides the necessary institutional detail that learners need to know to be successful in the management of financial services firms. Numerous applied cases are included so learners can better understand how the concepts are applied. Targeted at the MBA corporate finance course, this book can also be used for both a banking course and financial institution management course.

Product Details

ISBN-13:
9780324269314
Publisher:
Cengage Learning
Publication date:
07/28/2003
Edition description:
New Edition
Pages:
752
Product dimensions:
8.54(w) x 11.16(h) x 1.44(d)

Table of Contents

PART I: THE ENVIRONMENT OF FINANCIAL INSTITUTIONS MANAGEMENT 1. Changing Times for Financial Institutions 2. Financial Institutions as Risk-Takers - Strategic Considerations 3. Regulation, Technology, and Financial Innovation PART II: OVERVIEW AND PERFORMANCE ANALYSIS OF DEPOSITORY INSTITUTIONS 4. Depository Institution Performance and Risk Analysis 5. Credit Unions and Savings Institutions 6. Capital Regulations and Management 7. Changes with Technology: Securitization, Structured Financing, Internet Banking, and the Role of Financial Institutions in E-Commerce PART II. INTEREST RATE AND FOREIGN EXCHANGE ENVIRONMENTS 8. Interest Rates, Exchange Rates, and Inflation: Theories and Forecasting 9. The Term Structure of Interest Rates 10. Interest Rate Risk Measurement and Immunization Using Duration 11. Interest Rate Risk Management: Interest Rates and Foreign Currency Futures 12. Interest Rate Risk Management: Index Futures, Options, Swaps, and Other Derivatives PART IV. ASSET AND LIABILITY MANAGEMENT PROBLEMS FOR DEPOSITORY INSTITUTIONS 13. Asset Management: Commercial, Consumer, and mortgage Lending 14. Asset Management: Liquidity Reserves and the Securities Portfolio 15. Deposit and Liability Management PART V. MANAGEMENT ISSUES AND PERFORMANCE ANALYSIS OF NONDEPOSITORY INSTITUTIONS 16. Insurance Company Financial Management Issues 17. Investment Banks, Securities Firms, and Venture Capitalists: Management and Ethical Issues 18. Mutual Fund and Pension Fund Management 19. Managing Diversified Financial Services Firms: Corporate Governance and Merger and International Considerations

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