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Risk management for central bankers /

Risk management for central bankers / edited by S. F. Frowen, Robert Pringle and Benedict Weller. - London : Central Banking Publications, 2000. - xvi, 224 páginas : ilustraciones a blanco y negro ; 25 cm.

Incluye índice.

Foreword / 1. How central banks manage risk / 2. Change is the only constant: risk management in review / 3. Risk management practices at the ECB / 4. Risk management in the bank of England's financial markets operations / 5.A general concept of central bank wide risk management / 6. The changing nature for reserve management risks / 7.Risk management at the World Bank: global liquidity portfolios / 8. Risk and regulation / 9. Derivatives: risk and opportunities / 10. Payment system risk / 11. The standards based approach to systemic reform / 12. The adequacy of international reserve levels: a new approach / Sovereing risk management / Appendix, 151 -- Index, 219. by Christian Noyer, xv -- by Editorial Staff, 1 -- by Benedikt Koehler, 25 -- by Carlos Bernadell and Ciarán Rogers, 31 -- by Richard Allen, 43 -- by Amporn Sangmance and Jarumanee Raengkhum, 51 -- by Roberto de Beaufort, 61 -- by Jennifer Johnson-Calari, 71 -- by Brian Quinn, 83 -- by Gordon Gremmill, 91 -- by Robert Lindley, 107 -- by George Vojta, 119 -- by Christian Mulder, 127 -- by Michael Naameh,139 --

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Bancos centrales.
Gestión de los riesgos.

HG 1811 / .R57 2000

MV2014

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