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This book provides a thorough analysis of capital strategies, asset-liabilities management, and lending strategies within the overall framework of a lending organisation. This revised edition discusses topical issues such as the impact of capital regulation on the risk attitude and profitability of banks, strategies to protect banks from a liquidity crisis, and the need for a portfolio approach in developing models for credit exposure and loan management. It is essential reading for researchers, aspiring and practising chartered accountants, bankers, financial analysts, and credit managers. ISBN 9780195648508
ISBN - 9780195648508
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Pages : 744
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