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Risk Management in Banking, 2nd Edition
 
 
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Risk Management in Banking, 2nd Edition [Paperback]

Joël Bessis (Author)
3.5 out of 5 stars  See all reviews (6 customer reviews)


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Book Description

0471893366 978-0471893363 March 15, 2002 2
Fully revised and updated from the highly successful previous edition, Risk Managment in Banking 2nd Edition covers all aspects of risk management, shedding light on the extensive new developments in the field. There is a new emphasis on current practice, as well as in-depth analysis of the latest in research and techniques. This edition has been expanded to include an in-depth discussion of credit risk models, asset and liability management, credit valuation, risk-based capital, VAR, loan portfolio management, fund transer pricing and capital allocation. Quantitative material is presented in more detail and the scope of the book has been expanded to include investment banking and other financial services.

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Editorial Reviews

Review

"…this book is the right book to start working with Risk Management in banking…this book is worth every penny…" (MCSE Mag, 24 Janury 2003)

"…This book is the right book to start working with Risk Management in Banking…this book is worth every penny…" (www.mcsemag.eu.org, 20 March 2003) --This text refers to an out of print or unavailable edition of this title.

Language Notes

Text: English
Original Language: French --This text refers to an out of print or unavailable edition of this title.

Product Details

  • Paperback: 812 pages
  • Publisher: Wiley; 2 edition (March 15, 2002)
  • Language: English
  • ISBN-10: 0471893366
  • ISBN-13: 978-0471893363
  • Product Dimensions: 9.5 x 6.4 x 1.7 inches
  • Shipping Weight: 2.6 pounds
  • Average Customer Review: 3.5 out of 5 stars  See all reviews (6 customer reviews)
  • Amazon Best Sellers Rank: #1,502,897 in Books (See Top 100 in Books)

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Customer Reviews

6 Reviews
5 star:
 (1)
4 star:
 (3)
3 star:
 (1)
2 star:    (0)
1 star:
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Average Customer Review
3.5 out of 5 stars (6 customer reviews)
 
 
 
 
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Most Helpful Customer Reviews

17 of 17 people found the following review helpful:
4.0 out of 5 stars good overal beginner reference to risk management in banking, January 9, 2001
This review is from: Risk Management in Banking, 2nd Edition (Paperback)
The book is very well structured and I think and excellent introduction to the risk management in banking. I bought this book as hope to give me some more detailed presepective of risk management, but after reading it I think it should be used as a side reading reference to finance courses that some of the universities offer today in risk management or financial engineering. The author covers almost everything that we should know in risk management if we are new to it. However, if you are more experienced with finance or risk management I think this could be potential waste of money. I also think that the book has a bit high price for what it offers.One of the main reasons is the fact that the book is written in an elementary/intermediate form. Even as an elementary/intermediate level book I think that there should have been more examples or applicable activities that one can acctually see how some aspects of risk management are applied in the real world. Yes, there are some examples but not to an extent as there should be especially in the field as risk management and finance, where more and more people read these kinds of books in order to see or find how they can apply the information in the book to some real time activities in the financial market or corporate institution.

If you are looking for some more concrete text with some serious derivation of mathematical formulas for finance and risk management, or some more detailed presentations (more complex to read) I think you should then consider buying some other book.

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16 of 20 people found the following review helpful:
4.0 out of 5 stars Excellent, but Overpriced, Reference on Bank Risk Management, May 2, 1999
By A Customer
This is an excellent book which I have found to be very useful. The book gets 5 stars for its content. The negative is that the book is overpriced, particularly when the publisher released a paperback version priced at less than half the price of the hardback version shortly after the hardback was published - hence the lower rating.
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5 of 5 people found the following review helpful:
4.0 out of 5 stars Great intro, but a bit repeatitive, November 21, 2002
By 
Henry Wong (Melbourne, VIC Australia) - See all my reviews
This review is from: Risk Management in Banking, 2nd Edition (Paperback)
Bessis' volume is an elementary introduction to the basic "concepts" of risk management in banking. This is by no mean a technical book and should be accessible to most people with high school maths background. Judging on the capacity to explain basic ideas in layman's term, this is an excellent book!

However, the author seems to be a bit repeatitive and some basic concepts are to be repeated a few times throughout the book. I find it annoying but others might well find it a desirable feature for a "textbook". On the other hand, although the book is full of diagrams and illustrations, a small number of them are quite puzzling, e.g. contain symbols which are nowhere defined and is probably up to the reader to guess!

Anyway, if it is the first book you'll ever read on this subject, I believe it is an excellent choice!

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Inside This Book (learn more)
Key Phrases - Statistically Improbable Phrases (SIPs): (learn more)
portfolio loss volatility, marginal risk contributions, credit risk drivers, standalone risk, loss under default, variable interest rate gap, joint migration matrices, positive liquidation value, portfolio value distribution, correlated loss distributions, market parameter changes, preset confidence level, economic transfer prices, portfolio value volatility, recoveries under default, uniform default probability, loss percentile, joint default probability, joint migration matrix, loss given default percentages, quantified risk measures, unique transfer price, variable rate liabilities, risk management toolbox, full valuation models
Key Phrases - Capitalized Phrases (CAPs): (learn more)
Monte Carlo, Credit Metrics, Asset-Liability Management, New Basel Accord, Credit Monitor, Credit Portfolio View, Moody's Investors Service, Shareholders Value Added, Capital Asset Pricing Model, Auto Regressive Integrated Moving Average, Earnings Before Interest, Rate Cost, United States, Credit Suisse
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