Asset-liability management
Label
Asset-liability management
Name
Asset-liability management
Actions
Incoming Resources
- Subject of31
- Credit engineering for bankers, a practical guide for bank lending, Morton Glantz and Jonathan Mun
- Applications in finance, investments, and banking, edited by Diem Ho and Thomas Schneeweis
- Risk management and shareholders' value in banking, from risk measurement models to capital allocation policies, Andrea Resti and Andrea Sironi
- Bank valuation & value based management, deposit and loan pricing, performance evaluation, and risk management, Jean Dermine
- Defined benefit pension schemes in the United Kingdom, asset and liability management, Philippe-N. Marcaillou
- Risk management in banking, Joël Bessis
- International financial management, Jeff Madura
- Regulating securitized products, a post crisis guide, Rasheed Saleuddin
- Asset liability management for financial institutions, balancing financial stability with strategic objectives, edited by Bob Swarup
- Bank asset and liability management, the Hong Kong Institute of Bankers
- The principles of banking, Moorad Choudhry
- Rogues of Wall Street, how to manage risk in the cognitive era, Andrew B. Waxman
- The banking sector under financial stability, by Indranarain Ramlall
- Asset-liability and liquidity management, Pooya Farahvash
- Asset liability management optimisation, a practitioner's guide to balance sheet management and remodelling, Beata Lubinska
- The VaR modeling handbook, Greg N. Gregoriou, editor
- Bank valuation & value-based management, deposit and loan pricing, performance evaluation, and risk management, Jean Dermine
- Adapting to Basel III and the financial crisis, re-engineering capital, business mix, and performance management practices, Peter Miu & Bogie Ozdemir
- An introduction to banking, liquidity risk and asset-liability management, Moorad Choudhry ; [foreword by Oldrich Masek]
- The world of risk management, editor, H. Gifford Fong
- Tail risk killers, how math, indeterminacy, and hubris distort markets, Jeffrey McGinn
- Bank asset liability management best practice, yesterday, today and tomorrow, Polina Bardaeva
- Banking's final exam, stress testing and bank-capital reform, Morris Goldstein
- The banker's handbook on credit risk, implementing Basel II, Morton Glantz, Johnathan Mun
- Handbook of asset and liability management, from models to optimal return strategies, Alexandre Adam
- Basel IV, the next generation of risk weighted assets, Martin Neisen and Stefan Röth
- Credit, investments, and the macroeconomy, Marco Mazzoli
- Counterparty risk management, edited by Eduardo Canabarro and Michael Pykhtin
- Interest rate risk in the banking book, a best practice guide to management and hedging, Beata Lubinska
- Handbook of solvency for actuaries and risk managers, theory and practice, Arne Sandstro⁺ m
- Asset and liability management for banks and insurance companies, Marine Corlosquet-Habart, William Gehin, Jacques Janssen, Raimondo Manca