Commercial bank management /
Rose, Peter S.
Commercial bank management / Peter S. Rose. - 5th ed. - Boston : McGraw-Hill/Irwin, c2002. - xxvii, 803 p. : ill. ; 24 cm. - The McGraw-Hill/Irwin series in finance, insurance, and real estate .
Includes bibliographical references and index.
Pt. I. An Introduction to the Business of Banking. 1. An Overview of Banks and Their Services. 2. The Impact of Government Policy and Regulation on Banking. 3. The Organization and Structure of Banks and Their Industry. 4. The Financial Statements of a Bank. 5. Measuring and Evaluating Bank Performance --
Pt. II. Asset-Liability Management Techniques and Hedging Against Interest Rate and Credit Risk. 6. Asset-Liability Management: Determining and Measuring Interest Rates and Controlling a Bank's Interest-Sensitive Gap. 7. Asset-Liability Management: The Concept of Duration and Managing a Bank's Duration Gap. 8. Using Financial Futures and Options in Bank Asset-Liability Management. 9. Using Swaps and Other Asset-Liability Management Techniques. TOC
0072339675 (alk. paper) 9780072339673
2001024530
Bank management.
Financial services industry--Management.
Management.
HG1615 / .R66 2002
332.12068 / ROC 2002
Commercial bank management / Peter S. Rose. - 5th ed. - Boston : McGraw-Hill/Irwin, c2002. - xxvii, 803 p. : ill. ; 24 cm. - The McGraw-Hill/Irwin series in finance, insurance, and real estate .
Includes bibliographical references and index.
Pt. I. An Introduction to the Business of Banking. 1. An Overview of Banks and Their Services. 2. The Impact of Government Policy and Regulation on Banking. 3. The Organization and Structure of Banks and Their Industry. 4. The Financial Statements of a Bank. 5. Measuring and Evaluating Bank Performance --
Pt. II. Asset-Liability Management Techniques and Hedging Against Interest Rate and Credit Risk. 6. Asset-Liability Management: Determining and Measuring Interest Rates and Controlling a Bank's Interest-Sensitive Gap. 7. Asset-Liability Management: The Concept of Duration and Managing a Bank's Duration Gap. 8. Using Financial Futures and Options in Bank Asset-Liability Management. 9. Using Swaps and Other Asset-Liability Management Techniques. TOC
0072339675 (alk. paper) 9780072339673
2001024530
Bank management.
Financial services industry--Management.
Management.
HG1615 / .R66 2002
332.12068 / ROC 2002