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An Introduction to Banking: Principles, Strategy and Risk Management

An Introduction to Banking: Principles, Strategy and Risk Management

Autorzy
Wydawnictwo Wiley & Sons
Data wydania
Liczba stron 584
Forma publikacji książka w miękkiej oprawie
Język angielski
ISBN 9781119115892
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Opis książki

A practical primer to the modern banking operationIntroduction to Banking, Second Edition is a comprehensive and jargon-free guide to the banking operation. Written at the foundational level, this book provides a broad overview of banking to give you an all-around understanding that allows you to put your specialty work into context within the larger picture of your organization. With a specific focus on risk components, this second edition covers all key elements with new chapters on reputational risk, credit risk, stress testing and customer service, including an updated chapter on sustainability. Practical material includes important topics such as the yield curve, trading and hedging, asset liability management, loan origination, product marketing, reputational risk and regulatory capital.This book gives you the context you need to understand how modern banks are run, and the key points operation at all levels.* Learn the critical elements of a well-structured banking operation* Examine the risk components inherent in banking* Understand operational topics including sustainability and stress testing* Explore service-end areas including product marketing and customer serviceBanks continue to be the heart of the modern economy, despite the global financial crisis --they have however become more complex. Multiple layers and a myriad of functions contribute to the running of today's banks, and it's critical for new and aspiring bankers to understand the full breadth of the operation and where their work fits in. Introduction to Banking, Second Edition provides an accessible yet complete primer, with emphasis on the areas that have become central to sustainable banking operation.

An Introduction to Banking: Principles, Strategy and Risk Management

Spis treści

Foreword ixPreface xiPreface to the First Edition xvAcknowledgements xviiAbout the Author xixPART I BANK BUSINESS AND THE MARKETS 11 BANK BUSINESS AND CAPITAL 32 CUSTOMER SERVICES AND MARKETING FOR BANK PRODUCTS 293 CREDIT ASSESSMENT AND MANAGING CREDIT RISK 494 THE MONEY MARKETS 955 THE YIELD CURVE 1316 INTRODUCTION TO MONEY MARKET DEALING AND HEDGING 167PART II ASSET-LIABILITY MANAGEMENT AND LIQUIDITY RISK 2057 BANK ASSET AND LIABILITY MANAGEMENT I 2078 ASSET AND LIABILITY MANAGEMENT II: THE ALCO 2479 BANK LIQUIDITY RISK MANAGEMENT I 26510 LIQUIDITY RISK MANAGEMENT II: BASEL III LIQUIDITY, LIABILITIES STRATEGY, STRESS TESTING, COLLATERAL MANAGEMENT AND THE HQLA 28711 BUSINESS BEST-PRACTICE BANK INTERNAL FUNDS TRANSFER PRICING POLICY 32912 NET INTEREST INCOME (NII), NET INTEREST MARGIN (NIM) AND THE MANAGEMENT OF INTEREST-RATE RISKIN THE BANKING BOOK 34313 SECURITISATION MECHANICS FOR BALANCE SHEET MANAGEMENT 375PART III STRATEGY, REGULATORY CAPITAL AND CASE STUDIES 39114 STRATEGY SETTING 39315 BANK REGULATORY CAPITAL, BASEL RULES AND ICAAP 41916 MANAGING OPERATIONAL RISK 49317 ADVICE AND PROBLEM SOLVING: CASE STUDIES 505Appendix A Financial Markets Arithmetic 531Appendix B Abbreviations and Acronyms 549Index 553

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