Risk management of banks - by Ramy Roger Mecherkany

dc.contributor.authorMecherkany, Ramy Roger
dc.contributor.departmentDepartment of Economics
dc.contributor.facultyFaculty of Arts and Sciences
dc.contributor.institutionAmerican University of Beirut
dc.date2004
dc.date.accessioned2012-06-13T07:08:08Z
dc.date.available2012-06-13T07:08:08Z
dc.date.issued2004
dc.descriptionProject (M.A.F.E.)--Dept. of Economics, AUB, 2004.
dc.descriptionBibliography: leaves 40-41.
dc.description.abstractThe 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.extentviii, 41 leaves : ill. 30 cm.
dc.identifier.urihttp://hdl.handle.net/10938/6667
dc.language.isoen
dc.relation.ispartofTheses, Dissertations, and Projects
dc.subject.classificationPj:001189 AUBNO
dc.subject.lcshBank management
dc.subject.lcshRisk management
dc.subject.lcshAsset-liability management
dc.titleRisk management of banks - by Ramy Roger Mecherkany
dc.typeProject

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