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[书籍] Financial Systems and Risk Management 金融体系与风险管理
作者: Hong Kong Institute of Bankers
出版社: Wiley
简介: From England's fourteenth-century default to the United States sub-prime financial crisis, the world has been through many periods of financial turmoil, exposing the imperfections in the financial systems of various times. Understanding the facts and circumstances surrounding these crises is integral to gaining knowledge into how financial systems work, from which the reader can make more informed decisions in their professional context. The Hong Kong financial system remained sound during the United States sub-prime financial crisis despite the extereal-centric nature of its economy.The proper risk management measures applied both by Hong Kong banks and regulators added to the territory's reputation as a well-governed market. Topics covered in this comprehensive work include: * the global financial system * major financial crises * the Hang Kong financial system and markets * financial institutions and functions of central banks * risk management * global regulatory framework. This book offers a well-rounded introduction to the history of major financial crises, the global financial system and risk management. It is accompanied by a study guide, which provides summaries, highlights, illustrations, revision questions and updates for those taking the Hong Kong Institute of Bankers - AHKIB Examination.
  
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