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Bank management and control = strate...
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Wernz, Johannes.
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Bank management and control = strategy, pricing, capital and risk management /
Record Type:
Electronic resources : Monograph/item
Title/Author:
Bank management and control/ by Johannes Wernz.
Reminder of title:
strategy, pricing, capital and risk management /
Author:
Wernz, Johannes.
Published:
Cham :Springer International Publishing : : 2020.,
Description:
xv, 133 p. :ill., digital ;24 cm.
[NT 15003449]:
1 Outline -- 2 Bank Management and Steering -- 3 Banks in their Regulatory and Economic Environment -- 4 Risk Modeling and Capital - Credit Risk (Loans) -- 5 Risk Modeling and Capital - Counterparty Credit Risk (EPE) -- 6 Risk Modeling and Capital - Credit Risk (Securitizations) -- 7 Risk Modeling and Capital - Market Risk -- 8 Risk Modeling and Capital - Operational Risk -- 9 Risk Modeling - Asset Liability Management (ALM)
Contained By:
Springer eBooks
Subject:
Bank management. -
Online resource:
https://doi.org/10.1007/978-3-030-42866-2
ISBN:
9783030428662
Bank management and control = strategy, pricing, capital and risk management /
Wernz, Johannes.
Bank management and control
strategy, pricing, capital and risk management /[electronic resource] :by Johannes Wernz. - Second edition. - Cham :Springer International Publishing :2020. - xv, 133 p. :ill., digital ;24 cm. - Management for professionals,2192-8096. - Management for professionals..
1 Outline -- 2 Bank Management and Steering -- 3 Banks in their Regulatory and Economic Environment -- 4 Risk Modeling and Capital - Credit Risk (Loans) -- 5 Risk Modeling and Capital - Counterparty Credit Risk (EPE) -- 6 Risk Modeling and Capital - Credit Risk (Securitizations) -- 7 Risk Modeling and Capital - Market Risk -- 8 Risk Modeling and Capital - Operational Risk -- 9 Risk Modeling - Asset Liability Management (ALM)
Strategic planning, including the required quantitative methods, is an essential part of bank management and control. In this book capital, risk and yield are treated comprehensively and seamlessly. And a thorough introduction to the advanced methods of risk management for all sectors of banking is discussed. In addition, directly applicable concepts and data such as macroeconomic scenarios for strategic planning and stress testing as well as detailed scenarios for operational risk and advanced concepts for credit risk are presented in straightforward language. The book analyzes the effects of macroeconomic and regulatory developments such as the set of Basel III rules on planning, and it also presents and discusses the consequences for actively meeting these challenges, especially in terms of capital. A wealth of essential background information from practice, international observations and comparisons, along with numerous illustrative examples, make this book a useful resource for established and future professionals in bank management, risk/return management, controlling and accounting.
ISBN: 9783030428662
Standard No.: 10.1007/978-3-030-42866-2doiSubjects--Topical Terms:
648746
Bank management.
LC Class. No.: HG1615 / .W476 2020
Dewey Class. No.: 332.1068
Bank management and control = strategy, pricing, capital and risk management /
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1 Outline -- 2 Bank Management and Steering -- 3 Banks in their Regulatory and Economic Environment -- 4 Risk Modeling and Capital - Credit Risk (Loans) -- 5 Risk Modeling and Capital - Counterparty Credit Risk (EPE) -- 6 Risk Modeling and Capital - Credit Risk (Securitizations) -- 7 Risk Modeling and Capital - Market Risk -- 8 Risk Modeling and Capital - Operational Risk -- 9 Risk Modeling - Asset Liability Management (ALM)
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Strategic planning, including the required quantitative methods, is an essential part of bank management and control. In this book capital, risk and yield are treated comprehensively and seamlessly. And a thorough introduction to the advanced methods of risk management for all sectors of banking is discussed. In addition, directly applicable concepts and data such as macroeconomic scenarios for strategic planning and stress testing as well as detailed scenarios for operational risk and advanced concepts for credit risk are presented in straightforward language. The book analyzes the effects of macroeconomic and regulatory developments such as the set of Basel III rules on planning, and it also presents and discusses the consequences for actively meeting these challenges, especially in terms of capital. A wealth of essential background information from practice, international observations and comparisons, along with numerous illustrative examples, make this book a useful resource for established and future professionals in bank management, risk/return management, controlling and accounting.
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Economics and Finance (Springer-41170)
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EB HG1615 .W476 2020
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