Asset/Liability Management of Financial Institutions: Maximising Shareholder Value through Risk-Conscious Investing

Asset/Liability Management of Financial Institutions: Maximising Shareholder Value through Risk-Conscious Investing
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Asset/Liability Management of Monetary Institutions: Maximising Shareholder Value by means of Risk-Conscious Investing Description

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As the final of the very first Asset-Liability Management (ALM) across financial institutions, this book is essential for developing consistent frameworks for risk management. Building on the expertise of 38 leading business gives him a unique perspective and practice on the use of ALM. The book covers management, technologies and practices of ALM in monetary institutions, the challenges of depository institutions, insurance, pension and mortgage providers, and legal and accounting aspects of ALM and choices decisions. It examines problems for analysts and investors, the role of asset managers, financial modeling applications and how to develop optimal landmarks and significantly much more. For monetary and business managers, treasurers, portfolio managers, investment bankers, traders, actuaries, modelers, academics and lawmakers, this book gives you face to face with leading experts and is a valuable reference Asset/Liability Management of Financial Institutions: Maximising Shareholder Value by way of Risk-Conscious Investing

\n\nAsset/Liability Management of Financial Institutions: Maximising Shareholder Value via Risk-Conscious Investing Ebook

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