An Introduction to Banking: Liquidity Risk and Asset-Liability Management (Securities Institute Book 31)

An Introduction to Banking: Liquidity Risk and Asset-Liability Management (Securities Institute Book 31)

Product ID: B005MJF9K0 Condition: New

No Stock / Cannot Import

Product Description

An Introduction to Banking: Liquidity Risk and Asset-Liability Management (Securities Institute Book 31)

"A great write-up on the art of banking. Essential reading for anyone working in finance."
Dan Cunningham, Senior Euro Cash & OBS Dealer, KBC Bank NV, London

"Focused and succinct review of the key issues in bank risk management."
Graeme Wolvaardt, Head of Market Risk Control, Europe Arab Bank plc, London

The importance of banks to the world's economic system cannot be overstated. The foundation of consistently successful banking practice remains efficient asset-liability management and liquidity risk management.

This book introduces the key concepts of banking, concentrating on the application of robust risk management principles from a practitioner viewpoint, and how to incorporate these principles into bank strategy.

Detailed coverage includes:

  • Bank strategy and capital
  • Understanding the yield curve
  • Principles of asset-liability management
  • Effective liquidity risk management
  • The role of the bank ALM committee

Written in the author's trademark accessible style, this book is a succinct and focused analysis of the core principles of good banking practice.

Technical Specifications

Country
USA
Author
Moorad Choudhry
Binding
Kindle Edition
Edition
1
EISBN
9781119950257
Format
Kindle eBook
Label
Wiley
Manufacturer
Wiley
NumberOfPages
386
PublicationDate
2011-09-07
Publisher
Wiley
ReleaseDate
2011-09-07
Studio
Wiley