Risk management of banks - by Ramy Roger Mecherkany
| dc.contributor.author | Mecherkany, Ramy Roger | |
| dc.contributor.department | Department of Economics | |
| dc.contributor.faculty | Faculty of Arts and Sciences | |
| dc.contributor.institution | American University of Beirut | |
| dc.date | 2004 | |
| dc.date.accessioned | 2012-06-13T07:08:08Z | |
| dc.date.available | 2012-06-13T07:08:08Z | |
| dc.date.issued | 2004 | |
| dc.description | Project (M.A.F.E.)--Dept. of Economics, AUB, 2004. | |
| dc.description | Bibliography: leaves 40-41. | |
| dc.description.abstract | The banking sector is known to entail certain levels of financial risk banks ha ve proved to be the most hazardous economic institutions known. A number of mode ls have been developed to characterize the optimal risk selection strategy for f inancial ins | |
| dc.format.extent | viii, 41 leaves : ill. 30 cm. | |
| dc.identifier.uri | http://hdl.handle.net/10938/6667 | |
| dc.language.iso | en | |
| dc.relation.ispartof | Theses, Dissertations, and Projects | |
| dc.subject.classification | Pj:001189 AUBNO | |
| dc.subject.lcsh | Bank management | |
| dc.subject.lcsh | Risk management | |
| dc.subject.lcsh | Asset-liability management | |
| dc.title | Risk management of banks - by Ramy Roger Mecherkany | |
| dc.type | Project |