<?xml version="1.0" encoding="UTF-8"?>
<metadata
  xmlns="http://example.org/myapp/"
  xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance"
  xsi:schemaLocation="http://example.org/myapp/ http://example.org/myapp/schema.xsd"
  xmlns:dc="http://purl.org/dc/elements/1.1/"
  xmlns:dcterms="http://purl.org/dc/terms/"><dc:Title>Risk management at the top : a guide to risk and its governance in financial institutions / Mark Laycock. [electronic resource]</dc:Title>
<dc:Creator>Laycock, Mark, 1959-</dc:Creator>
<dc:Subject>Financial institutions Management.</dc:Subject>
<dc:Subject>Banks and banking Risk management.</dc:Subject>
<dc:Subject>Corporate governance.</dc:Subject>
<dc:Subject>Risk management.</dc:Subject>
<dc:Subject>HG173</dc:Subject>
<dc:Subject>332.1068/1 23</dc:Subject>
<dc:Description>Includes bibliographical references and index.</dc:Description>
<dc:Description>Print version record and CIP data provided by publisher.</dc:Description>
<dc:Description>With over 30 years' experience of risk management in banks, Mark Laycock provides a comprehensive but succinct non-technical overview of risk and its governance in financial institutions. Bridging the gap between texts on governance and the increasingly technical aspects of risk management the book covers the main risk types experienced by banks - credit, market, operational and liquidity - outlines those risks before considering them from a governance perspective including the Board and Executive Management. Addressing terminology issues that can confuse dialogue, and by providing a.</dc:Description>
<dc:Date>2014</dc:Date>
<dc:Type>Text</dc:Type>
<dc:Format>1 online resource.</dc:Format>
<dc:Identifier>http://onlinelibrary.wiley.com/book/10.1002/9781118497449</dc:Identifier>
<dc:Language>eng</dc:Language>
<dc:Relation>Wiley finance</dc:Relation>
<dc:Relation>Wiley finance series.</dc:Relation>
<dc:Relation>Risk management at the top.</dc:Relation>
<dc:Relation>Risk management at the top.</dc:Relation>

</metadata>