Financial Risk Management in Banking: Evidence from Asia Pacific - Banking, Money and International Finance - Shahsuzan Zakaria - Books - Taylor & Francis Ltd - 9781138388277 - August 27, 2019
In case cover and title do not match, the title is correct

Financial Risk Management in Banking: Evidence from Asia Pacific - Banking, Money and International Finance 1st edition


Get an email once the item is available
Do you have a profile? Log in
Get notified about new Shahsuzan Zakaria releases
Add to your iMusic wish list

Not rated yet

Also available as:

This book will help banks to improve their risk management practices by proposing a new method for measuring risk management efficiency, integrating two elements: (i) a non-parametric approach known as Data Envelopment Analysis (DEA); and (ii) a Dollar-offset Ratio (DOR) method of hedge effectiveness tests.


320 pages

Media Books     Hardcover Book   (Book with hard spine and cover)
Released August 27, 2019
ISBN13 9781138388277
Publishers Taylor & Francis Ltd
Pages 276
Dimensions 240 × 162 × 22 mm   ·   568 g
Language English  

More from the same publisher