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Asset Liability Management Optimisation
A Practitioner's Guide to Balance Sheet Management and Remodelling
Buch von Beata Lubinska
Sprache: Englisch

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Beschreibung

An advanced method for financial institutions to optimise Asset Liability Management for maximised return and minimised risk

Virtually all financial institutions rely on Asset Liability Management units to match term structures and cash flows of their asset liability portfolios. This has always been key to maximising returns while minimising risk.

However, the role of the ALM unit has evolved and expanded in recent years. Heavy regulation and increased competition have forced banks to constantly seek ways to improve their ALM operations. ALM units must now actively manage regulatory capital and monitor the banking book to ensure their institutions remain profitable and increasing competition for resources has forced Asset Liability Managers to extend beyond the risk management field.

These are new challenges. Luckily, there are practical ways to overcome them. Asset Liability Management Optimisation will teach you how to develop an ALM operation built to thrive in today's world. Author Beata Lubinska emphasises a quantifiable and holistic approach, in which interest rate risk and liquidity risk management are combined, helping ALM units precisely determine whether their efforts have yielded genuine improvements. This book is for any ALM professional or unit eager to adapt to new responsibilities and expectations.

ALM operations must evolve for financial institutions to succeed. This invaluable guide explains how they can.

Visit http: [...] for more information.

An advanced method for financial institutions to optimise Asset Liability Management for maximised return and minimised risk

Virtually all financial institutions rely on Asset Liability Management units to match term structures and cash flows of their asset liability portfolios. This has always been key to maximising returns while minimising risk.

However, the role of the ALM unit has evolved and expanded in recent years. Heavy regulation and increased competition have forced banks to constantly seek ways to improve their ALM operations. ALM units must now actively manage regulatory capital and monitor the banking book to ensure their institutions remain profitable and increasing competition for resources has forced Asset Liability Managers to extend beyond the risk management field.

These are new challenges. Luckily, there are practical ways to overcome them. Asset Liability Management Optimisation will teach you how to develop an ALM operation built to thrive in today's world. Author Beata Lubinska emphasises a quantifiable and holistic approach, in which interest rate risk and liquidity risk management are combined, helping ALM units precisely determine whether their efforts have yielded genuine improvements. This book is for any ALM professional or unit eager to adapt to new responsibilities and expectations.

ALM operations must evolve for financial institutions to succeed. This invaluable guide explains how they can.

Visit http: [...] for more information.

Über den Autor

BEATA LUBINSKA is a Founder of BL Advisory & Consulting, a boutique firm based in London. Previously, she has worked in senior positions in a number of financial services companies such as GE Capital, Deloitte, Standard Chartered Bank, and MeDirect Group in London, where her focus was mainly on Interest Rate Risk in the Banking Book (IRRBB), Market Risk, Balance Sheet Management, and Funds Transfer Pricing. She has over 16 years of practical experience developed in the Asset Liability management space gained both in Milan and London. Beata is also a faculty member at The Certificate of Bank Treasury Risk Management, where she teaches optimisation techniques in Asset Liability Management. She holds a PhD in Finance from Wroclaw University of Economics.

Details
Erscheinungsjahr: 2020
Fachbereich: Betriebswirtschaft
Genre: Wirtschaft
Rubrik: Recht & Wirtschaft
Medium: Buch
Seiten: 240
Inhalt: Gebunden
ISBN-13: 9781119635482
ISBN-10: 1119635489
Sprache: Englisch
Einband: Gebunden
Autor: Lubinska, Beata
Hersteller: John Wiley & Sons Inc
Maße: 178 x 250 x 23 mm
Von/Mit: Beata Lubinska
Erscheinungsdatum: 27.02.2020
Gewicht: 0,562 kg
preigu-id: 116945301
Über den Autor

BEATA LUBINSKA is a Founder of BL Advisory & Consulting, a boutique firm based in London. Previously, she has worked in senior positions in a number of financial services companies such as GE Capital, Deloitte, Standard Chartered Bank, and MeDirect Group in London, where her focus was mainly on Interest Rate Risk in the Banking Book (IRRBB), Market Risk, Balance Sheet Management, and Funds Transfer Pricing. She has over 16 years of practical experience developed in the Asset Liability management space gained both in Milan and London. Beata is also a faculty member at The Certificate of Bank Treasury Risk Management, where she teaches optimisation techniques in Asset Liability Management. She holds a PhD in Finance from Wroclaw University of Economics.

Details
Erscheinungsjahr: 2020
Fachbereich: Betriebswirtschaft
Genre: Wirtschaft
Rubrik: Recht & Wirtschaft
Medium: Buch
Seiten: 240
Inhalt: Gebunden
ISBN-13: 9781119635482
ISBN-10: 1119635489
Sprache: Englisch
Einband: Gebunden
Autor: Lubinska, Beata
Hersteller: John Wiley & Sons Inc
Maße: 178 x 250 x 23 mm
Von/Mit: Beata Lubinska
Erscheinungsdatum: 27.02.2020
Gewicht: 0,562 kg
preigu-id: 116945301
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