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15 of 15 people found the following review helpful:
5.0 out of 5 stars Excellent introduction to risk management
The book is very good and it starts describing the special nature of financial institutions and the industry. Then, in the second part you have complete chapters relating to every risk management: interest rate risk (maturity, repricing gaps and duration focuses, liquidity (e.g.maturity ladder), market risk (standarized Basel Committee and VaR approaches) credit risk...
Published on August 21, 2001 by Jimmy Izu

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6 of 6 people found the following review helpful:
3.0 out of 5 stars A good entry-level book on Financial Institution Risk
Using only a minimal amount of mathematics,
Professor Saunders describes a very broad
range of risks run by a Financial Institution.

A particularly good description is given
for interest rate risk management of a
standard banking portfolio.

Published on September 23, 2003 by Bert Smits


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15 of 15 people found the following review helpful:
5.0 out of 5 stars Excellent introduction to risk management, August 21, 2001
By 
The book is very good and it starts describing the special nature of financial institutions and the industry. Then, in the second part you have complete chapters relating to every risk management: interest rate risk (maturity, repricing gaps and duration focuses, liquidity (e.g.maturity ladder), market risk (standarized Basel Committee and VaR approaches) credit risk (including Basel Committe standarized approach, defalult risk models like credit scoring), operating costs and technology risk, FX risk, sovereign risk.

In the last part there is a good section which describes how to manage risks , including liabilty and liquidity management,deposit insurance, capital adequacy, geographic diversification, derivatives, the new credit risk management techniques and securitization.

I had the chance to have Profesor Saunders as a risk management teacher and I only say that as his classes, his book is great. It shows you the best introduction to risk management. It discusses about financial institutions (banks, insurance and securities). That book just helped me to see financial institutions under the risk focus. I really recommend this book to understand risk management.

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14 of 15 people found the following review helpful:
5.0 out of 5 stars The Best Book on Financial Institutions. Period., April 13, 2001
This review is from: Financial Institutions Management (Hardcover)
This is probably the best book in risk management available today. This is due to the combination of breadth and depth of the text. The author gently introduces the student to an important subject and explains with pains how to manage each and every kind of risk. The two chapters on Interest rate risk are absolutely fabulous. There is a sense of continuity because the concepts you learn in one chapter has applications in another. The problems at the end of the chapters are are also challenging and will require an in-depth understanding of the subject. This book is the ultimate.
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6 of 6 people found the following review helpful:
3.0 out of 5 stars A good entry-level book on Financial Institution Risk, September 23, 2003
By 
Bert Smits (Mechelen Belgium) - See all my reviews
Using only a minimal amount of mathematics,
Professor Saunders describes a very broad
range of risks run by a Financial Institution.

A particularly good description is given
for interest rate risk management of a
standard banking portfolio.

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2 of 2 people found the following review helpful:
4.0 out of 5 stars A comprehensive book on risk management from a financial institution's perspective, May 6, 2007
The text covers everything you would expect from a book about risk management: credit risk, IR risk, derivatives, securitization, etc. In my opinion the authors have done a nice job of explaining various models/concepts/ideas in a clear and concise fashion.

It's also noteworthy to mention that if you are using this book you're probably using it in a class. Heads up - the chapter problem solution keys provided by your professor from the publisher (the MSWord files the publisher distributes) contain a surprisingly large number of trivial errors here -- ie. incorrect algebra and other errors. The problems are otherwise helpful in terms of understanding the material nonetheless.
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4.0 out of 5 stars Book Review Financial Institutions Management, August 27, 2011
I used this book to teach the subject of "Regulatory Finance for Financial Institutions" in my university at MBA level. The range of risks and techniques of risks covered by the authors are phenomenal.

The book is written in such a way that, reading it feels like wearing it..!

Apart from discussing the risks at individual level the authors have also discussed their combined effect on different tiers of capital. Therefore, this book is also of great help for the people who feel trouble in understanding Basel Accords as well.

I really appreciate the authors for such a nice effort.
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4.0 out of 5 stars Excellent first risk management book, April 5, 2009
There are a lots of ways to explain the banking business. Many books try to describe regulatory policies, laws, banking procedures, etcetera.

This book doesn't. It tries to explain the business in a risk management point of view, regardless you are an incumbent in banking or assurance.

All types of risk: market, credit, equity, operational,and so forth. The style is very easy, the concepts clear, and the maths according to a first global banking risk book. Easy to read and understand. Furthermore, it adds some all time-bank situations in order to put the theory into the ground.

Nice touch!!
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0 of 1 people found the following review helpful:
5.0 out of 5 stars nice book, September 23, 2011
Amazon Verified Purchase(What's this?)
It is required by our teacher. I ordered this used book and found out it is like new! The shipment was fast. I got the book within two days.
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1 of 3 people found the following review helpful:
5.0 out of 5 stars One of the best books of market and financial rsik, June 2, 2000
By A Customer
This review is from: Financial Institutions Management (Hardcover)
I have read the second edition and this edition is better than the other. The tratment of market and financial rsk is simply and complete. I reccomend it, is one of the best books in this financial field.
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0 of 6 people found the following review helpful:
3.0 out of 5 stars Okay, September 24, 2005
Great deal, but the edition it was listed under was the worng one. I thought I was getting the right edition, but it was an older one. It still works though.
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Financial Institutions Management
Financial Institutions Management by Anthony Saunders (Hardcover - July 29, 1999)
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