Book Description:
Master financial institutions management with Anthony Saunders’ guide, now in its 10th edition. Explore comprehensive risk management strategies tailored for global financial markets and technological innovations. Ideal for students and professionals alike. ISBN: 978-1260013825.
Financial Institutions Management: A Risk Management Approach 10th Edition
- Author: Anthony Saunders
- ISBN: 978-1260013825
- Edition: 10th
- Language: English
- Page Numbers: Not specified
“Financial Institutions Management: A Risk Management Approach” by Anthony Saunders offers an insightful and comprehensive exploration into managing financial institutions effectively. Now in its 10th edition, this book delves into the intricacies of risk management tailored specifically for the needs of financial organizations. It equips readers with the essential strategies and tools necessary to navigate the complex environment of financial markets, focusing on increasing globalization, competition, and technological innovation. Perfect for both students and professionals, the book uses current examples and practical cases to illustrate key points, ensuring a deep understanding of both foundational and advanced risk management concepts.