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| DC Field | Value | Language |
|---|---|---|
| dc.contributor.author | Joël Bessis | - |
| dc.date.accessioned | 2026-04-24T06:53:08Z | - |
| dc.date.available | 2026-04-24T06:53:08Z | - |
| dc.date.issued | 2015 | - |
| dc.identifier.uri | http://thuvienso.thanglong.edu.vn//handle/TLU/13701 | - |
| dc.description.abstract | Risk management in banks became, and remained, a hot topic after the financial crisis. Addressing risk management in this context is challenging given that the magnitude of the crisis suggests that risk management was inefficient, that risk models were inadequate and that regulations failed to meet their goal of avoiding a major crisis. | vi |
| dc.language.iso | en | vi |
| dc.publisher | John Wiley & Sons, Inc | vi |
| dc.subject | Bank management | Risk management | Asset-liability management | Title | vi |
| dc.title | Risk management in banking | vi |
| dc.type | Sách/Book | vi |
| Appears in Collections | Kinh tế - Quản lý | |
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