Post–Crisis Risk Management: Bracing for the Next Perfect Storm

Author:   Tsuyoshi Oyama
Publisher:   John Wiley and Sons Ltd
ISBN:  

9780470825372


Pages:   216
Publication Date:   28 April 2010
Format:   Hardback
Availability:   In Print   Availability explained
Limited stock is available. It will be ordered for you and shipped pending supplier's limited stock.

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Post–Crisis Risk Management: Bracing for the Next Perfect Storm


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Overview

Although many regulator and industrial reports on the lessons learned from the recent market turmoil have appeared recently, they still tend to be plagued by the silo-approach, discussing only specific issues independent of other important issues. Besides, they tend to be silent on the regulators' function to be addressed after the turmoil. This book covers all the issues which have been highlighted by the recent financial turmoil in a comprehensive and integrated way, and also steps into the area of how supervisors as well as banks appropriately share the responsibilities of absorbing additional stresses under the financial shock.

Full Product Details

Author:   Tsuyoshi Oyama
Publisher:   John Wiley and Sons Ltd
Imprint:   John Wiley & Sons Ltd
Dimensions:   Width: 16.30cm , Height: 2.10cm , Length: 23.30cm
Weight:   0.542kg
ISBN:  

9780470825372


ISBN 10:   0470825375
Pages:   216
Publication Date:   28 April 2010
Audience:   Professional and scholarly ,  Professional & Vocational
Format:   Hardback
Publisher's Status:   Out of Print
Availability:   In Print   Availability explained
Limited stock is available. It will be ordered for you and shipped pending supplier's limited stock.

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Tsuyoshi Oyama has been a Director for Risk and Control Solutions at PricewaterhouseCoopers Aarata in Tokyo since September 2008. Before that, Oyama worked for more than 20 years at the Bank of Japan (BoJ), most recently as Deputy Director-General in Financial System and Bank Examination Department. In the BoJ, he conducted several projects to deal with Japanese banks? non-performing loans (NPL) problem and recently led Basel II implementation in Japan, including Pillar 2 (economic capital management), IRB and AMA. Up to June 2008, he also served as member of several sub-committees under the Basel Committee on Bank Supervision. From 1994 to 1997, he was seconded to the Policy Development and Review Department of the International Monetary Fund (IMF). He is Co-Regional Director of Global Association of Risk Professionals (GARP).

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