An Introduction to Banking: Principles, Strategy and Risk Management: Securities Institute
Autor Moorad Choudhryen Limba Engleză Other digital – 21 feb 2018
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Specificații
ISBN-13: 9781119115922
ISBN-10: 1119115922
Pagini: 584
Dimensiuni: 150 x 250 x 15 mm
Greutate: 0.67 kg
Ediția:2nd Edition
Editura: Wiley
Seria Securities Institute
Locul publicării:Chichester, United Kingdom
ISBN-10: 1119115922
Pagini: 584
Dimensiuni: 150 x 250 x 15 mm
Greutate: 0.67 kg
Ediția:2nd Edition
Editura: Wiley
Seria Securities Institute
Locul publicării:Chichester, United Kingdom
Notă biografică
Professor Moorad Choudhry lectures on the MSc Finance programme at University of Kent Business School. He was previously Treasurer, Corporate Banking Division at The Royal Bank of Scotland, Head of Treasury at Europe Arab Bank, Head of Treasury at KBC Financial Products, Vice President in structured finance services at JPMorgan Chase and a gilt-edged market maker at ABN Amro Hoare Govett Ltd. He is a Fellow of the Chartered Institute for Securities & Investment, a Fellow of the London Institute of Banking and Finance, a Fellow of the Global Association of Risk Professionals and a Fellow of the Institute of Directors.
Cuprins
Foreword ix
Preface xi
Preface to the First Edition xv
Acknowledgements xvii
About the Author xix
Part I Bank Business and the Markets 1
1 Bank Business and Capital 3
2 Customer Services and Marketing for Bank Products 29
3 Credit Assessment and Managing Credit Risk 49
4 the Money Markets 95
5 the Yield Curve 131
6 Introduction to Money Market Dealing and Hedging 167
Part II Asset-liability Management and Liquidity Risk 205
7 Bank Asset and Liability Management I 207
8 Asset and Liability Management II: the Alco 247
9 Bank Liquidity Risk Management I 265
10 Liquidity Risk Management II: Basel III Liquidity, Liabilities Strategy, Stress Testing, Collateral Management and the HQLA 287
11 Business Best-practice Bank Internal Funds Transfer Pricing Policy 329
12 Net Interest Income (NII), Net Interest Margin (NIM) and the Management of Interest-rate Risk in the Banking Book 343
13 Securitisation Mechanics for Balance Sheet Management 375
Part III Strategy, Regulatory Capital and Case Studies 391
14 Strategy Setting 393
15 Bank Regulatory Capital, Basel Rules and ICAAP 419
16 Managing Operational Risk 493
17 Advice and Problem Solving: Case Studies 505
Appendix A Financial Markets Arithmetic 531
Appendix B Abbreviations and Acronyms 549
Index 553
Preface xi
Preface to the First Edition xv
Acknowledgements xvii
About the Author xix
Part I Bank Business and the Markets 1
1 Bank Business and Capital 3
2 Customer Services and Marketing for Bank Products 29
3 Credit Assessment and Managing Credit Risk 49
4 the Money Markets 95
5 the Yield Curve 131
6 Introduction to Money Market Dealing and Hedging 167
Part II Asset-liability Management and Liquidity Risk 205
7 Bank Asset and Liability Management I 207
8 Asset and Liability Management II: the Alco 247
9 Bank Liquidity Risk Management I 265
10 Liquidity Risk Management II: Basel III Liquidity, Liabilities Strategy, Stress Testing, Collateral Management and the HQLA 287
11 Business Best-practice Bank Internal Funds Transfer Pricing Policy 329
12 Net Interest Income (NII), Net Interest Margin (NIM) and the Management of Interest-rate Risk in the Banking Book 343
13 Securitisation Mechanics for Balance Sheet Management 375
Part III Strategy, Regulatory Capital and Case Studies 391
14 Strategy Setting 393
15 Bank Regulatory Capital, Basel Rules and ICAAP 419
16 Managing Operational Risk 493
17 Advice and Problem Solving: Case Studies 505
Appendix A Financial Markets Arithmetic 531
Appendix B Abbreviations and Acronyms 549
Index 553