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Book
Asset management : strategies, opportunities and challenges
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ISBN: 1536142476 9781536142471 1536142468 9781536142464 Year: 2019 Publisher: New York : Nova Science Publishers,


Book
Banking's final exam : stress testing and bank-capital reform
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ISBN: 0881327069 0881327050 9780881327069 9780881327052 Year: 2018 Publisher: Washington, District of Columbia : Peterson Institute for International Economics,

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Spurred by the success of the first stress test of US banks toward the end of the global economic crisis in 2009, stress testing of large financial institutions has become the cornerstone of banking supervision worldwide. The aim of the tests is to determine which banks are adequately capitalized under severe economic shocks and to order corrective measures for those that are vulnerable. In Banking's Final Exam, one of the world's leading experts on banking regulation concludes that the tests administered on both sides of the Atlantic suffer from fundamental weaknesses, leading to a false sense of reassurance about the safety and soundness of the banking system. Some weaknesses can be corrected within the existing bank-capital regime, but others will require bold reforms-including higher minimum capital requirements for the largest and most systemically-important banks. The banking industry is likely to resist these reforms, but this book explains why their objections do not hold water.


Book
Credit engineering for bankers : a practical guide for bank lending
Authors: ---
ISBN: 1282879049 9786612879043 0123785863 0123785855 9780123785855 9781282879041 9780123785862 Year: 2010 Publisher: Burlington, MA : Elsevier,

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More efficient credit portfolio engineering can increase the decision-making power of bankers and boost the market value of their banks. By implementing robust risk management procedures, bankers can develop comprehensive views of obligors by integrating fundamental and market data into a portfolio framework that treats all instruments similarly. Banks that can implement strategies for uncovering credit risk investments with the highest return per unit of risk can confidently build their businesses. Through chapters on fundamental analysis and credit administration, authors Morton G


Book
Asset liability management for financial institutions : balancing financial stability with strategic objectives
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ISBN: 1849300585 1472920414 9781849300582 9781472920416 9781849300582 9781849300414 9781472924605 1849300410 9781849300414 1472924606 9781472924605 Year: 2012 Publisher: London Bloomsbury Information

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"Effective asset-liability management (ALM) of a financial institution requires making informed strategic and operational decisions. Ever more important in the wake of the corporate bailouts and collapses of the financial crisis, ALM encompasses the formulation, implementation, monitoring, and revision of strategies, often on a daily basis due to the fast-moving nature of the related risks and constraints."--Bloomsbury Publishing Effective asset-liability management (ALM) of a financial institution requires making informed strategic and operational decisions. Ever more important in the wake of the corporate bailouts and collapses of the financial crisis, ALM encompasses the formulation, implementation, monitoring, and revision of strategies, often on a daily basis due to the fast-moving nature of the related risks and constraints. This approachable book features up-to-date practitioner and academic perspectives to provide you with the knowledge you need. Key foundation information is backed up by the latest research and thought leadership to form a comprehensive guide to ALM for today and into the future, with case studies and worked examples. Detailed coverage includes: * Successful risk management frameworks * Coherent stress-testing * Modeling market risk * Derivatives and ALM * Contingency funding to manage liquidity risks * Basel III capital adequacy standard * Investment management for insurers * Property and casualty portfolio management * Funds transfer pricing * Problem loan modeling


Book
Asset Bubbles : Re-thinking Policy for the Age of Asset Management
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ISBN: 147557620X 149839762X 149830415X 9781498304153 Year: 2015 Publisher: Washington, D.C. : International Monetary Fund,

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In distilling a vast literature spanning the rational— irrational divide, this paper offers reflections on why asset bubbles continue to threaten economic stability despite financial markets becoming more informationally-efficient, more complete, and more heavily influenced by sophisticated (i.e. presumably rational) institutional investors. Candidate explanations for bubble persistence—such as limits to learning, frictional limits to arbitrage, and behavioral errors—seem unsatisfactory as they are inconsistent with the aforementioned trends impacting global capital markets. In lieu of the short-term nature of the asset owner—manager relationship, and the momentum bias inherent in financial benchmarks, I argue that the business risk of asset managers acts as strong motivation for institutional herding and ‘rational bubble-riding.’ Two key policy implications follow. First, procyclicality could intensify as institutional assets under management continue to grow. Second, remedial policies should extend beyond the standard suite of macroprudential and monetary measures to include time-invariant policies targeted at the cause (not just symptom) of the problem. Prominent among these should be reforms addressing principal-agent contract design and the implementation of financial benchmarks.

"Value-at-risk" et contrôle prudentiel des banques : l'approche des modèles internes de gestion des risques
Author:
ISBN: 2872096132 9782872096138 Year: 2001 Volume: 2 Publisher: Louvain-la-Neuve: Academia-Bruylant,

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Keywords

banques --- institutions de credit --- droit bancaire --- controle des institutions financieres --- risk management --- modeles economiques --- bankwezen --- portfoliobeheer --- risicoverzekeringen --- wisselkoersen --- banken --- kredietinstellingen --- bankwetgeving --- toezicht op financiele instellingen --- economische modellen --- Contrôle des risques --- Risicobeheer --- Asset-liability management. --- Bank management. --- 336.711.6 --- #ECO:02.02:financiële sector bank --- #A0104A --- 658.149 --- Banktoezicht. Bankrevisoraat. Disconto. Discontopolitiek. Dekkingsvoorschriften. Bankbiljettencirculatie. Reservefondsvorming --- Private financiën --- Internationaal financieel beheer --- 336.711.6 Banktoezicht. Bankrevisoraat. Disconto. Discontopolitiek. Dekkingsvoorschriften. Bankbiljettencirculatie. Reservefondsvorming --- Asset-liability management --- Bank management --- Investment analysis --- Risk management --- #abib:aleo --- 336.7 --- 333.109 --- 333.130.2 --- 333.130.3 --- 333.139.2 --- AA / International- internationaal --- 336.71 --- 437 Financiele instellingen. Privé --- 336.71 Bankwezen --- Bankwezen --- Insurance --- Management --- Analysis of investments --- Analysis of securities --- Security analysis --- Banks and banking --- Asset-liability management (Banking) --- Funds management --- Financial institutions --- Veiligheid. Bankovervallen. Bankrisico's --- Bankliquiditeit. Verplichte reserves. Solvabiliteit --- Kapitaal van de banken. Eigen fondsen van de banken --- Bankcontrole en -reglementering. Reglementering van het bankberoep --- Investments --- Private finance --- International financial management --- Risk management. --- Investment analysis. --- Banken


Book
Portfolio Rebalancing in Japan : Constraints and Implications for Quantitative Easing
Authors: ---
ISSN: 10185941 ISBN: 1513511521 1513537016 1513557599 9781513557595 9781513537016 1513560220 Year: 2015 Publisher: Washington, D.C. : International Monetary Fund,

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Portfolio rebalancing is a key transmission channel of quantitative easing in Japan. We construct a realistic rebalancing scenario, which suggests that the BoJ may need to taper its JGB purchases in 2017 or 2018, given collateral needs of banks, asset-liability management constraints of insurers, and announced asset allocation targets of major pension funds. Nonetheless, the BoJ could deliver continued monetary stimulus by extending the maturity of its JGB purchases or by scaling up private asset purchases. We quantify the impact of rebalancing on capital outflows and discuss JGB market signals that can be indicative of limits being within reach.

Sovereign Assets and Liabilities Management
Authors: --- --- ---
ISBN: 1557756945 146235422X 9786613851154 1455268941 1455213373 1283538709 9781455213375 9781557756947 9781455268948 9781283538701 6613851159 Year: 2000 Publisher: Washington, D.C. : International Monetary Fund,

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This volume, edited by David Folkerts-Landau and Marcel Cassard, consists of papers presented at a conference held in Hong Kong SAR that was hosted by the IMF and the Hong Kong Monetary Authority. It focuses on a wide range of issues confronting policymakers in managing their sovereign assets and liabilities in a world of mobile capital and integrated capital markets. Topics include public debt management strategy, central bank reserves management, technical and quantitive aspects of risk management, and credit costs and borrowing capacity in optimizing debt management. The papers draw on experiences of policymakers and private sector participants actively involved in formulating and implementing debt and reserves policy.

Keywords

Asset-liability management --- Risk management --- Debts, External --- Debts, Public --- Banks and banking, Central --- Foreign exchange --- Gestion des actifs et des passifs --- Gestion du risque --- Dettes extérieures --- Dettes --- Banques centrales --- Change --- Congresses --- Congrès --- Allègement --- 339.7 --- AA / International- internationaal --- 336.32 --- 333.825 --- 336.301 --- 333.111.42 --- -Risk management --- -Debts, External --- -Debts, Public --- -Banks and banking, Central --- -Foreign exchange --- -658.155 --- Debts, Government --- Government debts --- National debts --- Public debt --- Public debts --- Sovereign debt --- Debt --- Bonds --- Deficit financing --- Debts, Foreign --- Debts, International --- External debts --- Foreign debts --- International debts --- International finance --- Investments, Foreign --- Insurance --- Management --- Asset-liability management (Banking) --- Funds management --- Financial institutions --- Cambistry --- Currency exchange --- Exchange, Foreign --- Foreign currency --- Foreign exchange problem --- Foreign money --- Forex --- FX (Finance) --- International exchange --- Currency crises --- Banker's banks --- Banks, Central --- Central banking --- Central banks --- Banks and banking --- Internationale financien. Buitenlands betalingsverkeer --(z.o {336}) --- Beheer van de rijksschuld. Road shows. --- Deviezenpolitiek. Interventies. --- Toestand, structuur, rentelast en evolutie van de rijksschuld. --- goudreserves en deviezenreserves. --- Investments --- Finance --- Business & Economics --- Banking --- 339.7 Internationale financien. Buitenlands betalingsverkeer --(z.o {336}) --- Dettes extérieures --- Congrès --- Allègement --- 658.155 --- goudreserves en deviezenreserves --- Deviezenpolitiek. Interventies --- Toestand, structuur, rentelast en evolutie van de rijksschuld --- Beheer van de rijksschuld. Road shows --- Banks and Banking --- Exports and Imports --- Financial Risk Management --- Money and Monetary Policy --- Public Finance --- Debt Management --- Sovereign Debt --- Monetary Systems --- Standards --- Regimes --- Government and the Monetary System --- Payment Systems --- International Lending and Debt Problems --- Monetary Policy --- Financing Policy --- Financial Risk and Risk Management --- Capital and Ownership Structure --- Value of Firms --- Goodwill --- Public finance & taxation --- Monetary economics --- International economics --- Government debt management --- Currencies --- Foreign currency debt --- Debt management --- Public financial management (PFM) --- Money --- External debt --- International reserves --- Foreign exchange reserves --- Financial risk management --- United States


Periodical
The investment lawyer

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Covering legal and regulatory issues of asset management

Keywords

Investments --- Asset-liability management --- Asset-liability management. --- Investment law --- Asset-liability management (Banking) --- Funds management --- Financial institutions --- Investing --- Investment management --- Portfolio --- Finance --- Disinvestment --- Loans --- Saving and investment --- Speculation --- Law and legislation --- Law and legislation. --- Management --- United States. --- AB --- ABSh --- Ameerika Ühendriigid --- America (Republic) --- Amerika Birlăshmish Shtatlary --- Amerika Birlăşmi Ştatları --- Amerika Birlăşmiş Ştatları --- Amerika ka Kelenyalen Jamanaw --- Amerika Qūrama Shtattary --- Amerika Qŭshma Shtatlari --- Amerika Qushma Shtattary --- Amerika (Republic) --- Amerikai Egyesült Államok --- Amerikanʹ Veĭtʹsėndi͡avks Shtattn --- Amerikări Pĕrleshu̇llĕ Shtatsem --- Amerikas Forenede Stater --- Amerikayi Miatsʻyal Nahangner --- Ameriketako Estatu Batuak --- Amirika Carékat --- AQSh --- Ar. ha-B. --- Arhab --- Artsot ha-Berit --- Artzois Ha'bris --- Bí-kok --- Ē.P.A. --- EE.UU. --- Egyesült Államok --- ĒPA --- Estados Unidos --- Estados Unidos da América do Norte --- Estados Unidos de América --- Estaos Xuníos --- Estaos Xuníos d'América --- Estatos Unitos --- Estatos Unitos d'America --- Estats Units d'Amèrica --- Ètats-Unis d'Amèrica --- États-Unis d'Amérique --- Fareyniḳṭe Shṭaṭn --- Feriene Steaten --- Feriene Steaten fan Amearika --- Forente stater --- FS --- Hēnomenai Politeiai Amerikēs --- Hēnōmenes Politeies tēs Amerikēs --- Hiwsisayin Amerikayi Miatsʻeal Tērutʻiwnkʻ --- Istadus Unidus --- Jungtinės Amerikos valstybės --- Mei guo --- Mei-kuo --- Meiguo --- Mî-koet --- Miatsʻyal Nahangner --- Miguk --- Na Stàitean Aonaichte --- NSA --- S.U.A. --- SAD --- Saharat ʻAmērik --- SASht --- Severo-Amerikanskie Shtaty --- Severo-Amerikanskie Soedinennye Shtaty --- Si͡evero-Amerikanskīe Soedinennye Shtaty --- Sjedinjene Američke Države --- Soedinennye Shtaty Ameriki --- Soedinennye Shtaty Severnoĭ Ameriki --- Soedinennye Shtaty Si͡evernoĭ Ameriki --- Spojené staty americk --- SShA --- Stadoù-Unanet Amerika --- Stáit Aontaithe Mheirice --- Stany Zjednoczone --- Stati Uniti --- Stati Uniti d'America --- Stâts Unîts --- Stâts Unîts di Americhe --- Steatyn Unnaneysit --- Steatyn Unnaneysit America --- SUA --- Sŭedineni amerikanski shtati --- Sŭedinenite shtati --- Tetã peteĩ reko Amérikagua --- U.S. --- U.S.A. --- United States of America --- Unol Daleithiau --- Unol Daleithiau America --- Unuiĝintaj Ŝtatoj de Ameriko --- US --- USA --- Usono --- Vaeinigte Staatn --- Vaeinigte Staatn vo Amerika --- Vereinigte Staaten --- Vereinigte Staaten von Amerika --- Verenigde State van Amerika --- Verenigde Staten --- VS --- VSA --- Wááshindoon Bikéyah Ałhidadiidzooígí --- Wilāyāt al-Muttaḥidah --- Wilāyāt al-Muttaḥidah al-Amirīkīyah --- Wilāyāt al-Muttaḥidah al-Amrīkīyah --- Yhdysvallat --- Yunaeted Stet --- Yunaeted Stet blong Amerika --- ZDA --- Združene države Amerike --- Zʹi͡ednani Derz͡havy Ameryky --- Zjadnośone staty Ameriki --- Zluchanyi͡a Shtaty Ameryki --- Zlucheni Derz͡havy --- ZSA --- Business, Economy and Management --- Law --- Business Management --- Insurance and Investment --- Arbitration, Education & Training --- Regional and International Law

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