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1. |
Record Nr. |
UNISA996393293603316 |
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Titolo |
By the King, a proclamation. James R [[electronic resource] ] : Whereas for remedy of the present scarcity of money in this our kingdom, and that our standing forces may be the better paid and subsisted, and that our subjects of this realm may be the better enabled to pay and discharge the taxes, . |
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Pubbl/distr/stampa |
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Dublin, : Printed by Andrew Crook and Samuel Helsham assigns of Benjamin Tooke printer to the Kings most excellent Majesty; and are to be sold at at the Kings printinghouse on Ormonde-Key, and the Colledge-Arms in Castle-street., 1689 |
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Descrizione fisica |
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Altri autori (Persone) |
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James, King of England, <1633-1701.> |
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Soggetti |
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Money - Ireland |
Ireland History War of 1689-1691 Early works to 1800 |
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Lingua di pubblicazione |
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Formato |
Materiale a stampa |
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Livello bibliografico |
Monografia |
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Note generali |
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Title from caption title and opening lines of text. |
Imprint from colophon. |
"Given at our court at Dublin castle the 18th day of June, 1689." |
Making brass money current. |
Arms 186. |
Reproduction of original in the British Library. |
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Sommario/riassunto |
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2. |
Record Nr. |
UNINA9910777974203321 |
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Autore |
Greuning Hennie van |
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Titolo |
Analyzing banking risk : : a framework for assessing corporate governance and risk management / / Hennie van Greuning, Sonja Brajovic Bratanovic |
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Pubbl/distr/stampa |
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Washington, DC : , : World Bank, , [2009] |
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copyright 2009 |
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ISBN |
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Edizione |
[3rd ed.] |
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Descrizione fisica |
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xiv, 422 pages : illustrations ; ; 23 cm |
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Altri autori (Persone) |
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GreuningHennie van |
Brajovic BratanovicSonja <1946-> |
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Disciplina |
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Soggetti |
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Bank management |
Risk management |
Corporate governance |
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Lingua di pubblicazione |
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Formato |
Materiale a stampa |
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Livello bibliografico |
Monografia |
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Note generali |
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Originally published under title: Analyzing bank risk. |
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Nota di contenuto |
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Contents; Foreword to the Third Edition; Acknowledgments; 1 Overview of Banking Risks; Tables; 2 A Framework for Risk Analysis; Figures; 3 Corporate Governance; Boxes; Annex 3A: National Initiatives to Improve Corporate Governance; 4 Balance Sheet Structure; 5 Income Statement Structure; 6 Capital Adequacy; Annex 6A: Credit Risk-Related Weight Assignments Under the Basel I Accord, Covered by Tier 1 and Tier 2 Capital; Annex 6b: Calculation of the Capital Adequacy Ratio to Include Market Risk (Tier 3 Capital); 7 Credit Risk Management; 8 Liquidity Risk Management |
9 Managing Liquidity and Other Investment Portfolios 10 Market Risk Management; 11 Currency Risk Management; 12 Asset-Liability Management; 13 Operational Risk Management in a Treasury Environment; Annex 13A. Overview of Functions and Activities in a Treasury Environment; 14 Transparency and Data Quality; 15 A Risk-Based Approach to Bank Supervision; Appendixes |
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Sommario/riassunto |
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The third edition of 'Analyzing Banking Risk' provides a comprehensive overview of topics dealing with the assessment, analysis, and management of financial risks in banking.The publication emphasizes |
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risk-management principles and stresses that key players in the corporate governance process are accountable for managing the different dimensions of financial risk.This third edition remains faithful to the objectives of the original publication. A significant new addition is the inclusion of chapters on the management of the treasury function. Advances made by the Basel Committee on Banking Sup |
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