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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 - 9780198074106
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Pages : 562
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