Liquidity Risk Management in Banks, 2013 Economic and Regulatory Issues SpringerBriefs in Finance Series
Auteurs : Ruozi Roberto, Ferrari Pierpaolo
Pierpaolo Ferrari is associate professor of financial markets and institutions at University of Brescia and SDA professor at Bocconi University, Milan, Italy, where he teaches Financial Markets. He holds a M.Sc. in business administration at Bocconi University and a Ph.D. in financial markets and institutions at University of Siena, Italy.
Roberto Ruozi is emeritus professor of financial markets and institutions at Bocconi University, Milan, Italy. He has been Rector of Bocconi from 1994 to 2000 and has taught at University of Siena, Ancona, Parma (Italy) and Sorbonne, Paris (France). He is a member of the board of banks, insurance companies and industrial companies.
Date de parution : 09-2012
Ouvrage de 54 p.
15.5x23.5 cm
Thèmes de Liquidity Risk Management in Banks :
Mots-clés :
Basel III; Funding Liquidity Risk; Liquidity Risk; Market Liquidity Risk