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The following are pre-publication chapters from Anthony Saunders and Hugh
Thomas Financial Institutions Management, McGraw Hill, Burr Ridge Il, 2001.
Part I: The Financial Services Industry in Canada
Chapter 1: Banks and Other Deposit Taking Institutions Chapter
2: Insurance Companies Chapter 3:
Investment Banks and Finance Companies Chapter
4: Asset Managers: Pension and Mutual Funds Chapter
5: Why are FIs Special? Part II: Measuring Risk Chapter 6:
Risks of Financial Intermediation Chapter
7: Liquidity Risk -- Causes and Consequences Chapter
8: Liquidity Risk -- Reserve Asset and Liability Management Chapter
9: Interest Rate Risk -- Gap Analysis Chapter
10: Interest Rate Risk -- Duration Analysis Chapter
11: Market Risk Chapter 12: Credit Risk --
Traditional Approaches Chapter 13: Credit Risk --
Quantitative Approaches Chapter 14: Off Balance
Sheet Risk Chapter 15: Foreign Exchange Risk Chapter
16: Insurance Risk Chapter 17:
Operating Risk Part III: Managing Risk Chapter 18: Deposit and other Liability
Insurance Chapter 19: Capital Adequacy Chapter
20: Forward Contracts and Swaps Chapter 21: Futures Chapter
22: Options, Caps, Floors and Collars Chapter 23:
Loan Sales and Securitization Chapter 24: Service
Diversification |