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The New Arsenal of Risk Management
Oleh:
Buehler, Kevin
;
Freeman, Andrew
;
Hulme, Ron
Jenis:
Article from Bulletin/Magazine - ilmiah internasional
Dalam koleksi:
Harvard Business Review bisa di lihat di link (http://web.b.ebscohost.com/ehost/command/detail?sid=f227f0b4-7315-44a4-a7f7-a7cd8cbad80b%40sessionmgr114&vid=12&hid=105&bdata=JnNpdGU9ZWhvc3QtbGl2ZQ%3d%3d#db=bth&jid=HBR) vol. 86 no. 9 (Sep. 2008)
,
page 92-100.
Topik:
Risk Management
;
Crisis
;
Liquidity
;
Credit
;
Banking
Ketersediaan
Perpustakaan Pusat (Semanggi)
Nomor Panggil:
HH10.37
Non-tandon:
1 (dapat dipinjam: 0)
Tandon:
tidak ada
Lihat Detail Induk
Isi artikel
Discussions of risk usually come to the forefront in times of crisis but then recede as normalcy returns. As we write, the global banking system is facing a major credit and liquidity crisis. Losses from subprime mortgage, structured investment vehicles, and "covenant lite" loans are creating a credit crunch that may in turn trigger a global showdown. In the past year major fiancial institutions have written off nearly $400 billion, and central banks around the world have initiated emergency measures to restore liquidity.
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