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2014-12-21



Liquidity Risk Measurement and Management: A Practitioner's Guide to Global Best Practices by Leonard Matz and Peter Neu
English | ISBN: 0470821825 | 2007 | 412 pages | PDF | 4,2 MB


Major events such as the Asian crisis in 1997, the Russian default on short-term debt in 1998, the downfall of the hedge fund long-term capital management in 1998 and the disruption in payment systems following the World Trade Center attack in 2001, all resulted in increased management's attention to liquidity risk.

Banks have realized that adequate systems and processes for identifying, measuring, monitoring and controlling liquidity risks help them to maintain a strong liquidity position, which in turn will increase the confidence of investors and rating agencies as well as improve funding costs and availability. Liquidity Risk Measurement and Management: A Practitioner's Guide to Global Best Practices provides the best practices in tools and techniques for bank liquidity risk measurement and management. Experienced bankers and highly regarded liquidity risk experts share their insights and practical experiences in this book.
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Liquidity Risk Measurement and Management: A Practitioner's Guide to Global Best Practices

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2014-12-21 08:44:42
感谢你的资料,可惜重复了。
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2014-12-21 08:55:58
呵呵。。。。
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2014-12-21 09:30:13
wwqqer 发表于 2014-12-21 08:44
感谢你的资料,可惜重复了。
帮我删了吧
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2015-8-2 23:41:43
但是便宜啊
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2016-10-24 15:52:55
啊啊啊啊啊啊最近在学这个 流动性风险的。。。好想要这个书。。没有币。。
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