Strategies Of Banks And Other Financial Institutions

Author: Rajesh Kumar
Publisher: Elsevier
ISBN: 0124171672
Size: 23.30 MB
Format: PDF, ePub
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Strategies Of Banks And Other Financial Institutions from the Author: Rajesh Kumar. How and why do strategic perspectives of financial institutions differ by class and region? Strategies of Banks and Other Financial Institutions: Theories and Cases is an introduction to global financial institutions that presents both theoretical and actual aspects of markets and institutions. The book encompasses depository and non-depository Institutions; money markets, bond markets, and mortgage markets; stock markets, derivative markets, and foreign exchange markets; mutual funds, insurance, and pension funds; and private equity and hedge funds. It also addresses Islamic financing and consolidation in financial institutions and markets. Featuring up-to-date case studies in its second half, Strategies of Banks and Other Financial Institutions proposes a useful theoretical framework and strategic perspectives about risk, regulation, markets, and challenges driving the financial sectors. Describes theories and practices that define classes of institutions and differentiate one financial institution from another Presents short, focused treatments of risk and growth strategies by balancing theories and cases Places Islamic banking and finance into a comprehensive, universal perspective

Strategies Of Banks And Other Financial Institutions Theories And Cases

Author: Rajesh Kumar
Publisher: Academic Press
ISBN: 9780128101063
Size: 58.71 MB
Format: PDF
View: 4158
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Strategies Of Banks And Other Financial Institutions Theories And Cases from the Author: Rajesh Kumar. How and why do strategic perspectives of financial institutions differ by class and region? Strategies of Banks and Other Financial Institutions: Theories and Cases is an introduction to global financial institutions that presents both theoretical and actual aspects of markets and institutions. The book encompasses depository and non-depository Institutions; money markets, bond markets, and mortgage markets; stock markets, derivative markets, and foreign exchange markets; mutual funds, insurance, and pension funds; and private equity and hedge funds. It also addresses Islamic financing and consolidation in financial institutions and markets. Featuring up-to-date case studies in its second half, Strategies of Banks and Other Financial Institutions proposes a useful theoretical framework and strategic perspectives about risk, regulation, markets, and challenges driving the financial sectors. Describes theories and practices that define classes of institutions and differentiate one financial institution from another Presents short, focused treatments of risk and growth strategies by balancing theories and cases Places Islamic banking and finance into a comprehensive, universal perspective

Sustainable Banking

Author: Olaf Weber
Publisher: University of Toronto Press
ISBN: 1442612959
Size: 52.51 MB
Format: PDF, Mobi
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Sustainable Banking from the Author: Olaf Weber. Sustainable Banking introduces business leaders and students to the many ways in which financial institutions can manage their environmental and social impact and meet the needs of the current generation without compromising the needs of future generations. Olaf Weber and Blair Feltmate go beyond the business case for sustainability: how managing environmental, social, and governance risk can contribute to a bank's bottom line - to make the sustainability case for banking: how banks and other financial institutions can make a positive impact on society. In their book, Weber and Feltmate discuss the key aspects involved in making a financial institution sustainable: how to manage the direct and indirect impacts of banking activities on the community and the environment, how to minimize and mitigate the environmental footprint of internal operations, and how to account for various types of environmental and social risk in lending and project finance. They also introduce sustainable banking products and strategies being adopted by industry leaders, such as responsible investing, social finance, and impact lending.

Main Economic Indicators Sources And Methods Domestic Finance Statistics

Author: OECD
Publisher: OECD Publishing
ISBN: 9264162321
Size: 20.81 MB
Format: PDF, Docs
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Main Economic Indicators Sources And Methods Domestic Finance Statistics from the Author: OECD. This publication provides a detailed description of the sources and methods used by OECD member countries in calculating the monetary aggregates, credit and other measures of domestic finance presented in Main Economic Indicators.

The Fundamental Principles Of Financial Regulation

Author: Markus Konrad Brunnermeier
Publisher: Centre for Economic Policy research
ISBN: 9780955700972
Size: 45.64 MB
Format: PDF, Kindle
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The Fundamental Principles Of Financial Regulation from the Author: Markus Konrad Brunnermeier. "Today's financial regulatory systems assume that regulations which make individual banks safe also make the financial system safe. The eleventh Geneva Report on the World Economy shows that this thinking is flawed. Actions that banks take to make themselves safer can - in times of crisis - undermine the system's stability. The Report argues for a different approach."--P. xvi.

Bank And Insurance Capital Management

Author: Frans de Weert
Publisher: John Wiley & Sons
ISBN: 0470971649
Size: 43.13 MB
Format: PDF, Mobi
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Bank And Insurance Capital Management from the Author: Frans de Weert. In the aftermath of the financial crisis, capital management has become a critical factor in value creation for banks and other financial institutions. Although complex and subject to regulatory change, the strategic importance of capital management became apparent during the crisis and has moved the subject to the top of corporate agendas. Bank and Insurance Capital Management is an essential guide to help banks and insurance companies understand and manage their capital position. Bridging the gap between theory and practice, it provides proven techniques for managing bank capital, as well as explaining key capital management perspectives, including accounting, regulatory, risk and capital management and corporate finance. It also shows how to analyze a firm's stakeholders such as depositors, policy holders, debt holders and shareholders, and manage their expectations, and how to align risk and capital management so as to best optimize the return on capital and preserve capital in periods of stress. Economic capital is also discussed in depth, as are the practicalities of bank and insurance M&A, and the book also shows how financial innovations can be used to optimise the capital position and how diversification effects are reflected in the capital position. This book will arm readers with the knowledge and skills needed to understand how capital management can improve capital structure and performance, achieving an optimal cost of, and return on capital, creating value as a result.

Externalities And Macroprudential Policy

Author: Mr. Gianni De Nicol├│
Publisher: International Monetary Fund
ISBN: 1475570708
Size: 15.76 MB
Format: PDF, ePub
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Externalities And Macroprudential Policy from the Author: Mr. Gianni De Nicol├│. This note overviews macroprudential policy options that have been proposed to address the systemic risks experienced during the recent financial crisis. It contributes to the policy debate by providing a taxonomy of macroprudential policies in terms of the specific negative externalities in the financial system that these policies are meant to address, and discusses their interrelations and some key implementation issues.