Peter Hoflich
Banks at Risk: Global Best Practices in an Age of Turbulence
Издательство: John Wiley and Sons, Ltd, 2011 г.
978-0-470-81719-2
Книгопечатная продукция
Объем: 248 стр.
In the wake of the great financial crisis of 2008 the entire industry`s practices have come under scrutiny. Everyone from the government to regulators, banks and risk managers are rethinking the best way forward for the financial sector.
The stakes are high. Should trends in the industry continue and financial innovations allow the damage of the next crisis to grow exponentially, the endgame could be the sort of mutually assured destruction that topples entire economies. Charting the way forward in financial services reform requires a fundamental reappraisal of how things are done in order to avert disaster in the near future.
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