Books on the topic 'Banks and banking – Zimbabwe – Risk management'

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1

Risk management for Islamic banks. Edinburgh: Edinburgh University Press, 2013.

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2

Regulation and banks' behaviour towards risk. Aldershot, Hants: Dartmouth, 1990.

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3

Peter, Taylor, and IFS School of Finance, eds. Consumer credit risk management. London, U.K: Global Professional Publishing, 2008.

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4

Fethi, Meryem Duygun. Financial services: Efficiency and risk management. Hauppauge, NY: Nova Science Publishers, 2011.

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5

Professional Risk Managers International Association. Hyderabad Chapter. Anniversary Conference. Risk management: The new accelerator. New Delhi: Konark Publishers, 2013.

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6

Dash, Wu Desheng, and SpringerLink (Online service), eds. Enterprise Risk Management Models. Berlin, Heidelberg: Springer-Verlag Berlin Heidelberg, 2010.

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7

Fürer, Guido. Risk Management im internationalen Bankgeschäft. Bern: P. Haupt, 1990.

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8

Risk, risk management and regulation in the banking industry: The risk to come. New York: Routledge, 2012.

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9

Akkizidis, Ioannis S. Financial risk management for Islamic banking and finance. Houndmills, Basingstoke, Hampshire: Palgrave Macmillan, 2008.

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10

Arthus, Mark G. Integrated compliance and total risk management. Chicago: Bankline, 1994.

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11

Institute of Public Enterprise (Hyderabad, India), ed. Risk management in banking, insurance, and financial services. New Delhi: Academic Foundation in association with Institute of Public Enterprise, Hyderabad, 2014.

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12

Risk exposures and lending structures of Malaysian banks. Bangi: Penerbit Universiti Kebangsaan Malaysia, 2012.

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13

Value at risk and bank capital management: [risk adjusted performances, capital management and capital allocation decision making]. Amsterdam: Elsevier Academic Press, 2007.

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14

Fight, Andrew. Understanding International Bank Risk. New York: John Wiley & Sons, Ltd., 2004.

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15

Understanding international bank risk. Chichester: John Wiley & Sons, 2002.

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16

Fight, Andrew. Understanding international bank risk. Hoboken, N.J: John Wiley & Sons, 2004.

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17

Stephanou, Constantinos. Regulating market risk in banks: A comparison of alternative regulatory regimes. Washington, DC: World Bank, Financial Sector Development Dept., 1996.

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18

Zgraggen, Urs. Risk Reporting: Eine Illustration am Beispiel der Kantonalbanken. Zürich: Schulthess, 2006.

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19

Greuning, Hennie van. Risk analysis for Islamic banks. Washington, D.C: World Bank, 2008.

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20

Greuning, Hennie van. Risk analysis for Islamic banks. Washington, D.C: World Bank, 2008.

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21

Greuning, Hennie van. Risk analysis for Islamic banks. Washington, D.C: World Bank, 2008.

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22

Greuning, Hennie van. Risk analysis for Islamic banks. Washington, D.C: World Bank, 2008.

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23

Beccalli, Elena, and Federica Poli. Bank risk, governance and regulation. Houndmills, Basingstoke Hampshire: Palgrave Macmillan, 2015.

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24

(Turkey), İktisadi Araştırmalar Vakfı. Bankalarda etkili ve uluslararası standartlara uygun risk yönetimi (risk management) ve kontrol modeli: Seminer : açış, tebliğler, panel. İstanbul: İktisadi Araştırmalar Vakfı, 2000.

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25

(Turkey), İktisadi Araştırmalar Vakfı. Bankalarda etkili ve uluslararası standartlara uygun risk yönetimi (risk management) ve kontrol modeli: Seminer : açış, tebliğler, panel. İstanbul: İktisadi Araştırmalar Vakfı, 2000.

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26

Managing banking risks. Cambridge, England: Gresham Books, in association with the Chartered Institute of Bankers, 1997.

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27

Managing banking risks. Chicago: Glenlake Pub. co., 1999.

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28

Pelizzon, Loriana. Pillar 1 vs. Pillar 2 under risk management. Cambridge, MA: National Bureau of Economic Research, 2005.

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29

Philip, Molyneux, ed. Shareholder value in banking. New York: Palgrave Macmillan, 2006.

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30

Choudhry, Moorad. An introduction to banking: Liquidity risk and asset-liability management. Chichester: John Wiley, 2011.

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31

DeYoung, Robert. Risk overhang and loan portfolio decisions. [Chicago, Ill.]: Federal Reserve Bank of Chicago, 2005.

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32

Bank performance, risk and firm financing. Houndmills, Basingstoke, Hampshire: Palgrave Macmillan, 2011.

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33

Greuning, Hennie van. Analyzing banking risk: A framework for assessing corporate governance and financial risk management. Washington, D.C: World Bank, 2000.

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34

Vernin, Brigitte. Transaktionsrisiken im Retail-Banking: Verringerung der Unsicherheit bei der Anbahnung und Abwicklung des Geschäfts mit Retail-Kunden. Bern: P. Haupt, 1996.

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35

Lang, William W. Analysis of proposals for a minimum subordinated debt requirement. Washington, DC: Office of the Comptroller of the Currency, 2000.

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36

Shang ye yin hang ji ji feng xian guan li yan jiu: Positive risk management of commercial bank. Wuchang: Wuhan da xue chu ban she, 2006.

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37

Hirschbeck, Thomas. Management von Handelsrisiken in Banken: Konzeptionen zur Erfassung und Steuerung der Marktpreis- und Kreditrisiken aus Handelsgeschäften vor dem Hintergrund betriebswirtschaftlicher und aufsichtsrechtlicher Anforderungen. Köln: Botermann & Botermann, 1998.

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38

Sedov, S. A. Novye formy raspredelenii︠a︡ riskov: ot makroėkonomiki k banku: Nauchnyĭ doklad. Moskva: Institut mezhdunarodnykh ėkonomicheskikh i politicheskikh issledovaniĭ RAN (IMĖPI), 2004.

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39

Kauth, Simon Thomas. Risikomanagement von Struktureffekten im Bankgeschäft: Eine empirische Analyse für die Schweiz. Bern: P. Haupt, 1997.

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40

Vaškelaitis, Vytautas. Pinigai : komerciniai bankai ir jų rizikos valdymas: Teorija ir praktika. Vilnius: Lietuvos Mokslas, 2003.

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41

Zhongguo shang ye yin hang nei bu kong zhi ti xi yan jiu she ji yu shi shi: Jing rong gong cheng zai Zhongguo shang ye yin hang feng xian guan li zhong de ying yong. Beijing Shi: Zhongguo jin rong chu ban she, 2003.

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42

Enikov, I. G. Orientări în managementul riscurilor bancare. Chișinău: A.S.E.M., 2001.

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43

Andrea, Resti, ed. Risk management and shareholders' value in banking: From risk measurement models to capital allocation policies. Hoboken, NJ: Wiley, 2007.

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44

Ying hang ye feng xian yu fang fan ji zhi yan jiu. Beijing Shi: Zhongguo jin rong chu ban she, 2009.

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45

Uyemura, Dennis G. Financial risk management in banking: The theory & application of asset & liability management. Chicago: Bankers Pub. Co., 1993.

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46

Dermine, Jean. Bank valuation & value-based management: Deposit and loan pricing, performance evaluation, and risk management. New York: McGraw-Hill, 2009.

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47

Emerging trends in smart banking: Risk management under Basel II and III. Hershey, PA: Business Science Reference, An imprint of IGI Global, 2014.

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48

Foundations of banking risk: An overview of banking, banking risks, and risk-based banking regulation. Jersey City, N.J: Wiley, 2009.

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49

Richard, Apostolik, Donohue Christopher, Went Peter, and Global Association of Risk Professionals., eds. Foundations of banking risk: An overview of banking, banking risks, and risk-based banking regulation. Jersey City, N.J: Wiley, 2009.

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50

Richard, Apostolik, Donohue Christopher, Went Peter, and Global Association of Risk Professionals., eds. Foundations of banking risk: An overview of banking, banking risks, and risk-based banking regulation. Jersey City, N.J: Wiley, 2009.

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