Complete eTextbook Content:
PART I BANK BUSINESS AND THE MARKETS
1 BANK BUSINESS AND CAPITAL
2 CUSTOMER SERVICES AND MARKETING FOR BANK PRODUCTS
3 CREDIT ASSESSMENT AND MANAGING CREDIT RISK
4 THE MONEY MARKETS
5 THE YIELD CURVE
6 INTRODUCTION TO MONEY MARKET DEALING AND HEDGING
PART II ASSET–LIABILITY MANAGEMENT AND LIQUIDITY RISK
7 BANK ASSET AND LIABILITY MANAGEMENT I
8 ASSET AND LIABILITY MANAGEMENT II: THE ALCO
9 BANK LIQUIDITY RISK MANAGEMENT I
10 LIQUIDITY RISK MANAGEMENT II: BASEL III LIQUIDITY, LIABILITIES STRATEGY, STRESS TESTING, COLLATERAL MANAGEMENT AND THE HQLA
11 BUSINESS BEST-PRACTICE BANK INTERNAL FUNDS TRANSFER PRICING POLICY
12 NET INTEREST INCOME (NII), NET INTEREST MARGIN (NIM) AND THE MANAGEMENT OF INTEREST-RATE RISK
IN THE BANKING BOOK
13 SECURITISATION MECHANICS FOR BALANCE SHEET MANAGEMENT
PART III STRATEGY, REGULATORY CAPITAL AND CASE STUDIES
14 STRATEGY SETTING
15 BANK REGULATORY CAPITAL, BASEL RULES AND ICAAP
16 MANAGING OPERATIONAL RISK
17 ADVICE AND PROBLEM SOLVING: CASE STUDIES
Appendix A Financial Markets Arithmetic
Appendix B Abbreviations and Acronyms
Name: An Introduction to Banking: Principles, Strategy and Risk Management, 2nd Edition
Author: Moorad Choudhry
This is a eBook for the actual textbook of An Introduction to Banking: Principles, Strategy and Risk Management, 2nd Edition, by Moorad Choudhry.
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1) A COMPLETE eBook 569 Pages), with all single page and Chapters, Color Version. Same as the original textbook. Comes with PDF file format. Can be read by Adobe Reader.
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