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Bank Liquidity Risk Management and Measurement

 

Marketed By :  LAP LAMBERT Academic Publishing   Sold By :  Kamal Books International  
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  • Product Description
 

The recent market turmoil caused by the sub-prime crisis highlighted how several key factors can strongly affect the banks’ capability to preserve their financial equilibrium under stress. Current liquidity risk models demonstrated to undervalue extreme events affecting funding and market risk in global scenarios. There was not an integrated measurement tool able to cover all the dimensions of liquidity risk and commonly adopted by the majority of institutions. This work, therefore, intends to highlight the most significant features to consider in order to implement an effective liquidity risk measurement and management.

Product Specifications
SKU :COC68682
AuthorMario Di Carlo
LanguageEnglish
BindingPaperback
Number of Pages80
Publishing Year2011-11-09T00:00:00.000
ISBN978-3846543597
Edition1 st
Book TypeBanking & finance: study & revision guides
Country of ManufactureIndia
Product BrandLAP LAMBERT Academic Publishing
Product Packaging InfoBox
In The Box1 Piece
Product First Available On ClickOnCare.com2015-07-08 00:00:00