Bank Asset and Liability Management by Moorad Choudhry
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Bank Asset and Liability Management
By Moorad Choudhry

Bank Asset and Liability Management

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Format: Hardback

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Bank Asset and Liability Management by Moorad Choudhry

Book Description

Banks are a vital part of the global economy, and the essence of banking is asset-liability management (ALM). This book is a comprehensive treatment of an important financial market discipline. A reference text for all those involved in banking and the debt capital markets, it describes the techniques, products and art of ALM. Subjects covered include bank capital, money market trading, risk management, regulatory capital and yield curve analysis. Highlights of the book include detailed coverage of:* liquidity, gap and funding risk management* hedging using interest-rate derivatives and credit derivatives* impact of Basel II* securitisation and balance sheet management* structured finance products including asset-backed commercial paper, mortgage-backed securities, collateralised debt obligations and structured investment vehicles, and their role in ALM* treasury operations and group transfer pricing. Concepts and techniques are illustrated with case studies and worked examples. Written in accessible style, this book is essential reading for market practitioners, bank regulators and graduate students in banking and finance. Includes free CD-ROM that contains software on applications described in the book, including a yield curve model, cubic spline spreadsheet calculator and CDO waterfall model.

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Book Details

ISBN: 9780470821350
ISBN-10: 0470821353
Format: Hardback
(237mm x 169mm x 72mm)
Pages: 1440
Imprint: John Wiley & Sons Ltd
Publisher: John Wiley and Sons Ltd
Publish Date: 25-May-2007
Country of Publication: United Kingdom

Books By Author Moorad Choudhry

Fixed Income Markets by Moorad Choudhry Fixed Income Markets, Hardback (September 2014)

Looks at global debt capital markets in the post-crisis world. This book offers insights into derivative pricing, cross-currency hedging, and new liquidity legislation. It provides expanded coverage on a range of topics within hedging, derivatives, bonds, rebalancing, and global debt capital markets.

Introduction to Value-at-Risk by Moorad Choudhry Introduction to Value-at-Risk, Paperback (April 2013)

The value-at-risk measurement methodology is a widely-used tool in financial market risk management.

Mechanics of Securitization by Moorad Choudhry Mechanics of Securitization, Hardback (March 2013)

A step-by-step guide to implementing and closing securitization transactions Securitization is still in wide use despite the reduction in transactions.

» View all books by Moorad Choudhry

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Author Biography - Moorad Choudhry

Moorad Choudhry is Head of Treasury at KBC Financial Products UK Limited in London. He previously worked as a government bond trader at ABN Amro Hoare Govett Limited and Hambros Bank Limited, and in structured finance with JPMorgan Chase Bank. Moorad is a Visiting Professor at the Department of Economics, London Metropolitan University, and a Fellow of the Securities Institute in the City of London. He is co-editor with Professor Frank Fabozzi of The Handbook of European Fixed Income Securities.

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Recent books by Moorad Choudhry close
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»
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