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Bank asset and liability management : strategy, trading, analysis

Bank asset and liability management : strategy, trading, analysis (4회 대출)

자료유형
단행본
개인저자
Choudhry, Moorad.
서명 / 저자사항
Bank asset and liability management : strategy, trading, analysis / Moorad Choudhry.
발행사항
Singapore :   Wiley ,   2007.  
형태사항
xxiii, 1415 p. : ill. ; 24 cm. + 1 CD-ROM (4 3/4 in.).
ISBN
0470821353 (hbk.) 9780470821350 (hbk.)
서지주기
Includes bibliographical references and index.
일반주제명
Asset-liability management. Bank management.
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010 ▼a 2007279818
015 ▼a GBA445415 ▼2 bnb
020 ▼a 0470821353 (hbk.)
020 ▼a 9780470821350 (hbk.)
035 ▼a (KERIS)REF000013626478
040 ▼a UKM ▼c UKM ▼d BAKER ▼d NLGGC ▼d IUL ▼d YDXCP ▼d OCLCQ ▼d DLC ▼d 211009
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050 0 0 ▼a HG1615.25 ▼b .C46 2007
082 0 4 ▼a 332.1/0681 ▼2 22
090 ▼a 332.10681 ▼b C552b
100 1 ▼a Choudhry, Moorad.
245 1 0 ▼a Bank asset and liability management : ▼b strategy, trading, analysis / ▼c Moorad Choudhry.
260 ▼a Singapore : ▼b Wiley , ▼c 2007.
300 ▼a xxiii, 1415 p. : ▼b ill. ; ▼c 24 cm. + ▼e 1 CD-ROM (4 3/4 in.).
504 ▼a Includes bibliographical references and index.
650 0 ▼a Asset-liability management.
650 0 ▼a Bank management.
945 ▼a KINS

소장정보

No. 소장처 청구기호 등록번호 도서상태 반납예정일 예약 서비스
No. 1 소장처 중앙도서관/서고6층/ 청구기호 332.10681 C552b 등록번호 111563730 도서상태 대출가능 반납예정일 예약 서비스 B M

컨텐츠정보

목차

Foreword xi

Preface xiii

About the Author xxiii

Part I Banking business, bank capital and debt market instruments 1

Chapter 1 Bank business and bank capital 3

Chapter 2 Financial statements and ratio analysis 29

Chapter 3 The money markets 47

Chapter 4 The bond instrument 133

Part II Bank treasury asset–liability management 209

Chapter 5 Asset–liability management I 211

Chapter 6 Asset–liability management II 247

Chapter 7 ALM trading principles 305

Chapter 8 Asset–liability management III: The ALCO 327

Chapter 9 The yield curve 339

Chapter 10 The determinants of the swap spread and understanding the term premium 451

Chapter 11 Introduction to relative spread analysis 477

Part III Financial instruments, applications and hedging 491

Chapter 12 Repo instruments 493

Chapter 13 Money market derivatives 539

Chapter 14 Interest-rate swaps and overnight-index swaps 625

Chapter 15 Hedging using bond futures contracts 713

Chapter 16 Credit risk and credit derivatives 745

Chapter 17 Value-at-Risk (VaR) and credit VaR 833

Part IV Funding and balance sheet management using securitisation and structured credit vehicles 881

Chapter 18 Introduction to securitisation 887

Chapter 19 Structured, synthetic and repackaged funding vehicles 921

Chapter 20 Mortgage-backed securities and covered bonds 961

Chapter 21 Asset-backed securities 999

Chapter 22 Collateralised debt obligations 1021

Chapter 23 Synthetic collateralised debt obligations 1059

Chapter 24 Synthetic mortgage-backed securities 1139

Chapter 25 Structured investment vehicles 1147

Part V Bank regulatory capital 1161

Chapter 26 Bank regulatory capital and the Basel rules 1165

Chapter 27 A primer on Basel II 1195

Part VI Treasury middle office operations 1241

Chapter 28 Funding and Treasury procedures for banking corporations 1243

Part VII Applications software enclosed with the book 1261

Chapter 29 Applications software and spreadsheet models 1263

Appendix Financial markets arithmetic 1277

Glossary 1315

Index 1383


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