
This dynamic text allows learners to analyze and apply theory to managing performance for financial institutions. It is up-to-date, including new types of financial institutions and the evolving nature of the financial services industry. Not only does this text include risk management of financial institutions, it includes managing and analyzing different types of financial institutions. Additionally, this text provides the necessary institutional detail that learners need to know to be successful in the management of financial services firms. Numerous applied cases are included so learners can better understand how the concepts are applied. Targeted at the MBA corporate finance course, this book can also be used for both a banking course and financial institution management course.
How can financial institutions effectively manage performance and risk through an asset/liability approach? Authors Dixie L. Mills and Mona J. Gardner provide a comprehensive framework for analyzing the operational and strategic challenges facing modern financial services firms. By integrating theoretical concepts with institutional detail, the text establishes a methodology for evaluating performance and mitigating risk within a rapidly evolving industry.
What You Will Find
Scope Limits
This text is widely utilized in MBA-level corporate finance and banking curricula due to its focus on applied management techniques. Instructors and students frequently note the balance between theoretical rigor and the practical institutional knowledge required for industry success.
Page Count:
795
Publication Date:
1987-01-01
Publisher:
Houghton Mifflin Harcourt School
ISBN-10:
0030054796
ISBN-13:
9780030054792
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