
Bank Management & Financial Services - Rose, Peter S.|Hudgins, Sylvia C. - A...
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Bank Management & Financial Services - Rose, Peter S.|Hudgins, Sylvia C. - A...
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A book with obvious wear. May have some damage to the cover but integrity still intact. The binding may be slightly damaged but integrity is still intact. Possible writing in margins, possible underlining and highlighting of text, but no missing pages or anything that would compromise the legibility or understanding of the text.
Ended: Aug 12, 2025 22:19:56 SGT
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Located in: El Dorado, Kansas, United States
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eBay item number:157224819218
Item specifics
- Condition
- Release Year
- 2012
- Book Title
- Bank Management & Financial Services
- ISBN
- 9780078034671
About this product
Product Identifiers
Publisher
Mcgraw-Hill Education
ISBN-10
0078034671
ISBN-13
9780078034671
eBay Product ID (ePID)
113197662
Product Key Features
Number of Pages
768 Pages
Publication Name
Bank Management & Financial Services
Language
English
Subject
Banks & Banking, Industries / Financial Services
Publication Year
2012
Type
Textbook
Subject Area
Business & Economics
Format
Hardcover
Dimensions
Item Height
1.2 in
Item Weight
54.9 Oz
Item Length
10.4 in
Item Width
8.2 in
Additional Product Features
Edition Number
9
Intended Audience
College Audience
LCCN
2011-039373
Dewey Edition
22
Grade From
College Freshman
Illustrated
Yes
Grade To
College Freshman
Dewey Decimal
332.1068
Table Of Content
PART ONE Introduction to Banking and Financial Services 1. An Overview of the Changing Financial-Services Sector 2. The Impact of Government Policy and Regulation on the Financial-Services Industry 3. The Organization and Structure of Banking and the Financial-Services Industry 4. Establishing New Banks, Branches, ATMs, Telephone Services, and Web Sites PART TWO Financial Statements and Financial-Firm Performance 5. The Financial Statements of Banks and Their principal Competitors 6. Measuring and Evaluating the Performance of Banks and Their Principal Competition PART THREE Tools for Managing and Hedging Against Risk 7. Risk Management for Changing Interest Rates: Asset-Liability Management and Duration Techniques 8. Risk Management: Financial Futures, Options, Swaps, and Other Hedging Tools 9. Risk Management: Asset-Backed Securities, Loan Sales, Credit Stanbys, and Credit Derivatives PART FOUR Managing Investment Portfolios and Liquidity Positions for Financial Firms 10. The Investment Function in Financial Services Management 11. Liquidity and Reserves Management: Strategies and Policies PART FIVE Managing Sources of Funds for a Financial Firm 12. Managing and Pricing Deposit Services 13. Managing Nondeposit Liabilities 14. Investment Banking, Insurance, and Other Sources of Fee Income 15. The Management of Capital PART SIX Providing Loans to Businesses and Consumers 16. Lending Policies and Procedures: Managing Credit Risk 17. Lending to Business Firms and Pricing Business Loans 18. Consumer Loans, Credit Cards, and Real Estate Lending PART SEVEN Managing the Future in a Global Marketplace 19. Acquisitions and Mergers in Financial-Services Management 20. International Banking and the Future of Banking and Financial Services
Synopsis
Bank Management and Financial Services , now in its ninth edition, is designed primarily for students interested in pursuing careers in or learning more about the financial services industry. It explores the services that banks and their principal competitors (including savings and loans, credit unions, security and investment firms) offer in an increasingly competitive financial-services marketplace. The ninth edition discusses the major changes and events that are remaking banking and financial services today. Among the key events and unfolding trends covered in the text are: Newest Reforms in the Financial System, including the new Dodd-Frank Financial Reform Law and the Credit Card Accountability, Responsibility, and Disclosure (CARD) Act of 2009. Global Financial Sector coverage of the causes and impact of the latest "great recession." Systemic Risk and the presentation of the challenges posed in the financial system. Exploration of changing views on the "too big to fail" (TBTF) doctrine and how regulators may be forced to deal with TBTF in the future. Controlling Risk Exposure presentation of methods in an increasingly volatile economy, Bank Management and Financial Services , now in its ninth edition, is designed primarily for students interested in pursuing careers in or learning more about the financial services industry. It explores the services that banks and their principal competitors (including savings and loans, credit unions, security and investment firms) offer in an increasingly competitive financial-services marketplace. The ninth edition discusses the major changes and events that are remaking banking and financial services today. Among the key events and unfolding trends covered inthe text are: Newest Reforms in the Financial System, including the new Dodd-Frank Financial Reform Law and the Credit Card Accountability, Responsibility, and Disclosure (CARD) Act of 2009. Global Financial Sector coverage of the causes and impact of the latest "great recession." Systemic Risk and the presentation of the challenges posed in the financial system. Exploration of changing views on the "too big to fail" (TBTF) doctrine and how regulators may be forced to deal with TBTF in the future. Controlling Risk Exposure presentation of methods in an increasingly volatile economy
LC Classification Number
HG181.R65 2013
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