Maximize your stockholdersa wealth with BANK MANAGEMENT! With an emphasis on how managers can implement strategies to maximize stockholders wealth by balancing the trade-off between banking risks and returns, this finance text demonstrates how risk management decisions in different areas affect each other and the overall profitability and risk of the institution. Learn by doing with an Excel template that allows you to practice cash flow analysis and bank performance analysis.
Publisher: Cengage Learning, Inc
Number of pages: 576
Weight: 998 g
Edition: 6th ed.
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