Bank Management and Control: Strategy, Capital and Risk Management
Book information
Description
Strategic planning, including the required quantitative methods, is an essential part of bank management and control. In this book capital, risk and yield are treated comprehensively and seamlessly. And a thorough introduction to the advanced methods of risk management for all sectors of banking is discussed. In addition, directly applicable concepts and data such as macroeconomic scenarios for strategic planning and stress testing as well as detailed scenarios for operational risk and advanced concepts for credit risk are presented in straightforward language. The book analyzes the effects of macroeconomic and regulatory developments such as the set of Basel III rules on planning, and it also presents and discusses the consequences for actively meeting these challenges, especially in terms of capital. A wealth of essential background information from practice, international observations and comparisons, along with numerous illustrative examples, make this book a useful resource for established and future professionals in bank management, risk/return management, controlling and accounting.
Similar books
Portfolio Analytics: An Introduction to Return and Risk Measurement
2015 · PDF
Derivative Security Pricing: Techniques, Methods and Applications
2015 · PDF
Fixed-Income Portfolio Analytics: A Practical Guide to Implementing, Monitoring and Understanding Fixed-Income Portfolios
2015 · PDF
Applied Asset and Risk Management: A Guide to Modern Portfolio Management and Behavior-Driven Markets
2015 · PDF
Handbook of Financial Econometrics and Statistics
2015 · PDF
Kreditrisikotransfer: Moderne Instrumente und Methoden
2012 · PDF
Bank Management and Control: Strategy, Capital and Risk Management
2014 · PDF
Portfolio Analytics: An Introduction to Return and Risk Measurement
2013 · PDF