Bank Performance Risk and Securitisation

Bank Performance  Risk and Securitisation
Author: Joseph Falzon
Publsiher: Springer
Total Pages: 367
Release: 2013-10-24
Genre: Business & Economics
ISBN: 9781137332097

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The latest scholarly developments in research on banking, financial markets, and the recent financial crisis. This selection of papers were presented at the Wolpertinger Conference held in Valletta, Malta, 2012 and provide insights into bank performance, banking risk, securitisation, bank stability, sovereign debt and derivatives.

International Convergence of Capital Measurement and Capital Standards

International Convergence of Capital Measurement and Capital Standards
Author: Anonim
Publsiher: Lulu.com
Total Pages: 294
Release: 2004
Genre: Bank capital
ISBN: 9789291316694

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Managing Banking Risks

Managing Banking Risks
Author: Eddie Cade
Publsiher: Routledge
Total Pages: 204
Release: 2013-11-26
Genre: Business & Economics
ISBN: 9781135952211

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Banking and financial services are some of the fastest-growing industries in the world's developed countries. As growth is spurred on by huge demand for new and improved services, bankers face the daunting and difficult challenges of reducing risks and uncertainty at a time of unprecedented innovation and prosperity. Managing Banking Risks fills a gap in banking literature by providing a professional and sophisticated risk planner--for bank directors, executives, and managers at every operational level. This important work covers the full range of banking risks that operation managers and executives need to understand--from liquidity risk to price risk to operating risk.

Securitization and Credit Quality

Securitization and Credit Quality
Author: David Marques?Ibanez
Publsiher: International Monetary Fund
Total Pages: 41
Release: 2016-11-15
Genre: Business & Economics
ISBN: 9781475554007

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Banks are usually better informed on the loans they originate than other financial intermediaries. As a result, securitized loans might be of lower credit quality than otherwise similar nonsecuritized loans. We assess the effect of securitization activity on loans’ relative credit quality employing a uniquely detailed dataset from the euro-denominated syndicated loan market. We find that, at issuance, banks do not seem to select and securitize loans of lower credit quality. Following securitization, however, the credit quality of borrowers whose loans are securitized deteriorates by more than those in the control group. We find tentative evidence suggesting that poorer performance by securitized loans might be linked to banks’ reduced monitoring incentives.

Credit Risk and Exposure in Securitization and Transactions

Credit Risk and Exposure in Securitization and Transactions
Author: T.H. Donaldson
Publsiher: Springer
Total Pages: 178
Release: 2015-12-25
Genre: Business & Economics
ISBN: 9781349103614

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This book defines the various risks which banks face and relates them to products. Major types of risk and main instruments are surveyed as well as capital needs and returns. Credit risk is given particular priority and the book is aimed at bankers facing credit risk for the first time.

Securitisation

Securitisation
Author: Edward P. M. Gardener,Jack Revell
Publsiher: Unknown
Total Pages: 112
Release: 1988
Genre: Asset-backed financing
ISBN: UOM:35128000956589

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Bank Capital

Bank Capital
Author: Ouarda Merrouche,Ms. Enrica Detragiache,Asli Demirgüç-Kunt
Publsiher: International Monetary Fund
Total Pages: 38
Release: 2010-12-01
Genre: Business & Economics
ISBN: 9781455254873

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Using a multi-country panel of banks, we study whether better capitalized banks experienced higher stock returns during the financial crisis. We differentiate among various types of capital ratios: the Basel risk-adjusted ratio; the leverage ratio; the Tier I and Tier II ratios; and the tangible equity ratio. We find several results: (i) before the crisis, differences in capital did not have much impact on stock returns; (ii) during the crisis, a stronger capital position was associated with better stock market performance, most markedly for larger banks; (iii) the relationship between stock returns and capital is stronger when capital is measured by the leverage ratio rather than the risk-adjusted capital ratio; (iv) higher quality forms of capital, such as Tier 1 capital and tangible common equity, were more relevant.

Bank Stability Sovereign Debt and Derivatives

Bank Stability  Sovereign Debt and Derivatives
Author: J. Falzon
Publsiher: Springer
Total Pages: 308
Release: 2013-10-30
Genre: Business & Economics
ISBN: 9781137332158

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The latest scholarly developments in research on banking, financial markets, and the recent financial crisis. This selection of papers were presented at the Wolpertinger Conference held in Valletta, Malta, 2012 and provide insights into bank performance, banking risk, securitisation, bank stability, sovereign debt and derivatives.