-
Rich Rollo
-
Mat Blankenship
-
Joseph F. Dumond
-
Jerry Eastbourne
-
Terri Pierce
-
Timothy Tabor
-
John Wesley Anderson, Jr.
-
Gary D. Cluck
-
Robert S. Weil
-
Christie Castorino
BUSINESS & ECONOMICS - Banks & Banking
|
Sort By:
|
|
Products per Page:
|
|
By Gary Allan Tisor
Forget 'Where's the Beef.' WHERE'S THE MONEY? Now you can find out. Read “The Untold Story." Gary’s research has uncovered many manuscripts and 'documents' to inform you just how this theft has been very carefully planned out! This book of all books, reveals the treasonous untold and previously hidden secrets, explaining what our banks have done and are doing to all Americans. This book goes to the very core of our current world problems. “The Untold Story”, by Gary Allan Tisor is a must read. It tells the most factual truth published anywhere.
For more information about the book, you may check: www.isorstudios.com.
FORMAT: Softcover
By Gary Allan Tisor
Forget 'Where's the Beef.' WHERE'S THE MONEY? Now you can find out. Read “The Untold Story." Gary’s research has uncovered many manuscripts and 'documents' to inform you just how this theft has been very carefully planned out! This book of all books, reveals the treasonous untold and previously hidden secrets, explaining what our banks have done and are doing to all Americans. This book goes to the very core of our current world problems. “The Untold Story”, by Gary Allan Tisor is a must read. It tells the most factual truth published anywhere.
For more information about the book, you may check: www.isorstudios.com.
FORMAT: E-Book
By Thres. Joseph Karottukunnel
No Description Available.
FORMAT: E-Book
By Thres. Joseph Karottukunnel
No Description Available.
FORMAT: Softcover
By Ray Echebiri
Rage of the Risk God chronicles in the broadest conceptual language, the impact of the catastrophic global economic crisis of 2008/09 on the Nigerian banking industry, and the concomitant regulatory intervention, which had had more than mere tangential effect that as yet is reshaping the industry and the national economy in a way not exactly predictable. It contextualises the motivations, rationale, and the impact of the banking reforms embarked upon by the Central Bank of Nigeria under Mallam Lamido Sanusi, who is fondly referred to as the �risk god� by his professional colleagues in the banking industry because of his unmatched mastery of risk management.
FORMAT: Softcover
By Ray Echebiri
Rage of the Risk God chronicles in the broadest conceptual language, the impact of the catastrophic global economic crisis of 2008/09 on the Nigerian banking industry, and the concomitant regulatory intervention, which had had more than mere tangential effect that as yet is reshaping the industry and the national economy in a way not exactly predictable. It contextualises the motivations, rationale, and the impact of the banking reforms embarked upon by the Central Bank of Nigeria under Mallam Lamido Sanusi, who is fondly referred to as the �risk god� by his professional colleagues in the banking industry because of his unmatched mastery of risk management.
FORMAT: E-Book
By Jerome Svigals
The banking world is quickly evolving from an era of Electronic Banking, based on plastic cards and readable checks, to a new era of E-Banking. It will center on hand-held, mobile communication based and stored program operated transaction devices (Smartphones). It will communicate via networks, primarily the world wide Internet. This eBook is intended to help you understand the use of Smartphones on the Internet in preparing for the banking world of 2020. The content is intended to introduce you to the Internet and its role, in the E-Banking era.
FORMAT: E-Book
By Leonard Matz
Villains for the Great Meltdown of 2007-2008 seem plentiful. But the very concept of finding and punishing villains misses the target. Ideally, we learn from past failures. We perfect our craft. Lessons to be learned from the Great Meltdown are not just plentiful – they are also insightful. In LIQUIDITY RISK MEASUREMENT AND MANAGENT -- BASEL III AND BEYOND, Mr. Matz provides detailed, practical analysis and recommendations covering every aspect of liquidity risk measurement and management. • Examples of what went wrong are used extensively. • Best practices procedures are explained. • New regulatory guidance – both qualitative and quantitative, including Basel III – is discussed in detail. • Source material and examples from many countries are included. This is the “how to guide” for liquidity risk managers in financial institutions around the globe.
FORMAT: Softcover
By Leonard Matz
Villains for the Great Meltdown of 2007-2008 seem plentiful. But the very concept of finding and punishing villains misses the target. Ideally, we learn from past failures. We perfect our craft. Lessons to be learned from the Great Meltdown are not just plentiful – they are also insightful. In LIQUIDITY RISK MEASUREMENT AND MANAGENT -- BASEL III AND BEYOND, Mr. Matz provides detailed, practical analysis and recommendations covering every aspect of liquidity risk measurement and management. • Examples of what went wrong are used extensively. • Best practices procedures are explained. • New regulatory guidance – both qualitative and quantitative, including Basel III – is discussed in detail. • Source material and examples from many countries are included. This is the “how to guide” for liquidity risk managers in financial institutions around the globe.
FORMAT: Hardcover
By Leonard Matz
Villains for the Great Meltdown of 2007-2008 seem plentiful. But the very concept of finding and punishing villains misses the target. Ideally, we learn from past failures. We perfect our craft. Lessons to be learned from the Great Meltdown are not just plentiful – they are also insightful. In LIQUIDITY RISK MEASUREMENT AND MANAGENT -- BASEL III AND BEYOND, Mr. Matz provides detailed, practical analysis and recommendations covering every aspect of liquidity risk measurement and management. • Examples of what went wrong are used extensively. • Best practices procedures are explained. • New regulatory guidance – both qualitative and quantitative, including Basel III – is discussed in detail. • Source material and examples from many countries are included. This is the “how to guide” for liquidity risk managers in financial institutions around the globe.
FORMAT: E-Book
By Jes Rau
No Description Available.
FORMAT: E-Book
By Jes Rau
No Description Available.
FORMAT: Softcover
By Thomas H. Ward, MBA
No Description Available.
FORMAT: Softcover
By Thomas H. Ward, MBA
No Description Available.
FORMAT: Hardcover
By Thomas H. Ward, MBA
No Description Available.
FORMAT: E-Book
|