BECON 2003: Implications of Basel II for Risk Management and Capital Structure (Volume 1)

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This collection of six volumes is an attempt to meet the demands of a wide readership. These six volumes contain selected papers that delegates read out at BECON 2003. Volume I deals with the topic, Implications of Basel II for Risk Management and Capital Structure and comprises 10 papers divided into two parts—Overview and Specific Risk Management areas. Volume II comprises papers on Meeting International Standards and is divided into three areas: corporate governance, benchmarking and stand-alones. Volume III covers the broad area of business strategy and deals with overall strategy, general strategy, diversification of bank business and mortgage-backed securitization. Volume IV discusses the broad sweep of topics under business strategy comprising delivery channels, outsourcing, customer orientation, marketing, and stand-alones. Volume V discusses in detail the need and place of human resource management today while Volume VI brings to light all about knowledge management through a collection of 16 papers. A must read for all students.

ABOUT THE AUTHOR N. Nagarajan

Dr. Narasimham Nagarajan (b.1942) obtained his Master's degree in economics from the Madras Christian College, Madras University, in 1965 and Ph.D. in economics from the Department of Economics, Bombay University, in 1979. He did his post-doctoral study at the Indiana University (Bloomington, Indiana, USA) during 1987-88 under the scholarship scheme of the Reserve Bank of India. After teaching for a year (1965-66) at the Presidency College, Madras, he joined the Economics Department of the Reserve Bank of India in 1966. He held various positions in the Economics Department, erstwhile Credit Planning Cell, Department of Banking Operations and Development, and erstwhile Department of Supervision. He was also a member of faculty at the Bankers Training College. His specialisation was in financial sector, particularly banking, and external sector, especially foreign exchange rates and international economic co-operation. After thirty-five years of service, he retired from the Reserve Bank of India as Economic Advisor in 2001 to take up the position of Chief Economic Advisor at the Indian Banks’ Association. In that capacity, he was actively involved in providing academic and organisational support to the annual Bank Economists’ Conferences. He also served as the Editor of the Asia-Pacific Rural Finance, a quarterly journal on rural finance published by the Bangkok-based Asia-Pacific Rural and Agricultural Credit Association (APRACA) as also the Managing Director of the publication wing of APRACA. He retired from the services of IBA in June 2004. Dr. Nagarajan represented the Reserve Bank of India and the Indian Banks’ Association in several committees and participated at various international conferences and seminars. His papers and participation at the events were well received. He has published several papers in both Indian and foreign journals. All of them have been widely acclaimed. He is a regular contributor to the ICFAI journals.

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Bibliographic information

Title
BECON 2003: Implications of Basel II for Risk Management and Capital Structure (Volume 1)
Author
Edition
1st ed.
Publisher
ISBN
8178813351
Length
208p.
Subjects