113分析解析金融市场跟金融机构_第二章节资料.pptVIP

  • 4
  • 0
  • 约4.99千字
  • 约 38页
  • 2019-03-06 发布于湖北
  • 举报

113分析解析金融市场跟金融机构_第二章节资料.ppt

Banking Risks and Returns Profitability, liquidity, and solvency trade-off The fundamental objective of bank management is to maximize shareholders’ wealth, i.e., to maximize the market value of the bank’s common stock. Wealth maximization requires the manager to evaluate and balance the trade-offs between the opportunity for higher returns, the probability of not realizing those returns, and the possibility that the bank might fail. a href=/dxzlyy/癫痫病种类/a a href=/dxbwd/癫痫病问答/a Risk management is the process by which managers identify, assess, monitor, and control risks associated with a finan

文档评论(0)

1亿VIP精品文档

相关文档