Risk based Capital Portfolio Risk and Bank Capital

Risk based Capital  Portfolio Risk  and Bank Capital
Author: Kevin Jacques
Publsiher: Unknown
Total Pages: 32
Release: 1994
Genre: Bank holding companies
ISBN: CORNELL:31924069643967

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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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Risk Based Capital

Risk Based Capital
Author: Lawrence D. Cluff
Publsiher: DIANE Publishing
Total Pages: 187
Release: 2000
Genre: Electronic Book
ISBN: 9780788186707

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Risk based Capital Requirements for Banks and Bank Holding Companies

Risk based Capital Requirements for Banks and Bank Holding Companies
Author: United States. Congress. House. Committee on Banking, Finance, and Urban Affairs. Subcommittee on General Oversight and Investigations
Publsiher: Unknown
Total Pages: 118
Release: 1987
Genre: Bank capital
ISBN: STANFORD:36105021059188

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Bank Capital Requirements

Bank Capital Requirements
Author: Craig H. Furfine
Publsiher: Unknown
Total Pages: 232
Release: 1995
Genre: Electronic Book
ISBN: STANFORD:36105009709424

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Value at Risk and Bank Capital Management

Value at Risk and Bank Capital Management
Author: Francesco Saita
Publsiher: Elsevier
Total Pages: 280
Release: 2010-07-26
Genre: Business & Economics
ISBN: 0080471064

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Value at Risk and Bank Capital Management offers a unique combination of concise, expert academic analysis of the latest technical VaR measures and their applications, and the practical realities of bank decision making about capital management and capital allocation. The book contains concise, expert analysis of the latest technical VaR measures but without the highly mathematical component of other books. It discusses practical applications of these measures in the real world of banking, focusing on effective decision making for capital management and allocation. The author, Francesco Saita, is based at Bocconi University in Milan, Italy, one of the foremost institutions for banking in Europe. He provides readers with his extensive academic and theoretical expertise combined with his practical and real-world understanding of bank structure, organizational constraints, and decision-making processes. This book is recommended for graduate students in master's or Ph.D. programs in finance/banking and bankers and risk managers involved in capital allocation and portfolio management. Contains concise, expert analysis of the latest technical VaR measures but without the highly mathematical component of other books Discusses practical applications of these measures in the real world of banking, focusing on effective decision making for capital management and allocation Author is based at Bocconi University in Milan, Italy, one of the foremost institutions for banking in Europe

Global Risk Based Capital Regulations Capital adequacy

Global Risk Based Capital Regulations  Capital adequacy
Author: Charles Austin Stone,Anne Zissu
Publsiher: Unknown
Total Pages: 668
Release: 1994
Genre: Asset-liability management
ISBN: UCSD:31822016856783

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Managing Portfolio Credit Risk in Banks An Indian Perspective

Managing Portfolio Credit Risk in Banks  An Indian Perspective
Author: Arindam Bandyopadhyay
Publsiher: Cambridge University Press
Total Pages: 390
Release: 2016-05-09
Genre: Business & Economics
ISBN: 9781107146471

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This book explains how a proper credit risk management framework enables banks to identify, assess and manage the risk proactively.