Amazon cover image
Image from Amazon.com

Risk Management and Financial Institutions / John C. Hull.

By: Contributor(s): Material type: TextTextSeries: Wiley finance seriesPublication details: Hoboken, N.J. : John Wiley & Sons, c2012.Edition: 3rd edDescription: xxi,643p.; ill. 25cmISBN:
  • 9781118286388 (electronic bk. : adobe pdf)
  • 1118286383 (electronic bk. : adobe pdf)
Subject(s): Genre/Form: Additional physical formats: Print version:: Risk management and financial institutions.DDC classification:
  • 332.10681 23 HUL-R 2012 807505
Online resources:
Contents:
Cover; Series; Title Page; Copyright; Dedication; Business Snapshots; Preface; WHAT'S NEW; SLIDES; QUESTIONS AND PROBLEMS; INSTRUCTOR'S MANUAL; ACKNOWLEDGMENTS; Chapter 1: Introduction; 1.1 RISK VS. RETURN FOR INVESTORS; 1.2 THE EFFICIENT FRONTIER; 1.3 THE CAPITAL ASSET PRICING MODEL; 1.4 ARBITRAGE PRICING THEORY; 1.5 RISK VS. RETURN FOR COMPANIES; 1.6 RISK MANAGEMENT BY FINANCIAL INSTITUTIONS; 1.7 CREDIT RATINGS; SUMMARY; FURTHER READING; PRACTICE QUESTIONS AND PROBLEMS (ANSWERS AT END OF BOOK); FURTHER QUESTIONS; Chapter 2: Banks; 2.1 COMMERCIAL BANKING.
Tags from this library: No tags from this library for this title. Log in to add tags.
Star ratings
    Average rating: 0.0 (0 votes)
Holdings
Item type Current library Collection Call number Copy number Status Date due Barcode Item holds
Books Books Lahore Business School Library Shelf No. 18, LBS Book 332.10681 HUL-R 2012 807505 (Browse shelf(Opens below)) C1 Available 807505
Books Books Lahore Business School Library Shelf No. 18, LBS Book 332.10681 HUL-R 2012 807506 (Browse shelf(Opens below)) C2 Available 807506
Reference Reference Lahore Business School Library Shelf No. 18, LBS Not for loan and check out is restricted 332.10681 HUL-R 2012 807507 (Browse shelf(Opens below)) C3 Not For Loan (Restricted Access) 807507
Total holds: 0

"+ website"--Cover.

Previously published by Prentice Hall, 2006 and 2009.

Includes bibliographical references and index.

Cover; Series; Title Page; Copyright; Dedication; Business Snapshots; Preface; WHAT'S NEW; SLIDES; QUESTIONS AND PROBLEMS; INSTRUCTOR'S MANUAL; ACKNOWLEDGMENTS; Chapter 1: Introduction; 1.1 RISK VS. RETURN FOR INVESTORS; 1.2 THE EFFICIENT FRONTIER; 1.3 THE CAPITAL ASSET PRICING MODEL; 1.4 ARBITRAGE PRICING THEORY; 1.5 RISK VS. RETURN FOR COMPANIES; 1.6 RISK MANAGEMENT BY FINANCIAL INSTITUTIONS; 1.7 CREDIT RATINGS; SUMMARY; FURTHER READING; PRACTICE QUESTIONS AND PROBLEMS (ANSWERS AT END OF BOOK); FURTHER QUESTIONS; Chapter 2: Banks; 2.1 COMMERCIAL BANKING.

Ebrary Single User

Copyrights 2018© The University of Lahore (UOL) Libraries. All Rights Reserved. Library System Administrator Muhammad Riaz (muhammad.riaz@uol.edu.pk) +92 (0)42 35963421-30 Ext: 1703

Powered by Koha