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ArtikelA special report on financial risk: Cinderella's moment  
Oleh: [s.n]
Jenis: Article from Bulletin/Magazine
Dalam koleksi: The Economist (http://search.proquest.com/) vol. 394 no. 8669 (Feb. 2010), page 50+8.
Topik: Financial Risk; Banks; Risk Managers; Credit
Fulltext: Cinderella's Moment.pdf (394.55KB)
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  • Perpustakaan Pusat (Semanggi)
    • Nomor Panggil: EE29.59
    • Non-tandon: 1 (dapat dipinjam: 0)
    • Tandon: tidak ada
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Isi artikelIN A speech delivered to a banking-industry conference in Geneva in December 2006, Madelyn Antoncic issued a warning and then offered some reassurance. With volatility low, corporate credit spreads growing ever tighter and markets all but ignoring bad news, there was, she said, “a seemingly overwhelming sense of complacency”. Nevertheless, she insisted that the firm she served as chief risk officer, Lehman Brothers, was well placed to ride out any turbulence, thanks to a keen awareness of emerging threats and a rock-solid analytical framework.
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