Bücher versandkostenfrei*100 Tage RückgaberechtAbholung in über 100 Filialen
Unser Herbst-Deal: 15% Rabatt12 auf Spielwaren, English Books & mehr mit dem Code HERBST15
Jetzt einlösen
mehr erfahren
Produktbild: Bank Management and Control | Johannes Wernz
Weitere Ansicht: Bank Management and Control | Johannes Wernz
Produktbild: Bank Management and Control | Johannes Wernz

Bank Management and Control

Strategy, Pricing, Capital and Risk Management

(0 Bewertungen)15
800 Lesepunkte
Buch (gebunden)
Sparen Sie zusätzlich 15%12 auf diesen Artikel mit dem Gutscheincode: HERBST15
79,99 €inkl. Mwst.
Zustellung: Sa, 25.10. - Mi, 29.10.
Versand in 7 Tagen
Versandkostenfrei
Empfehlen
This book analyzes the effects of macroeconomic and regulatory developments such as the set of Basel III rules on planning. It also details advanced methods within risk management and describes macroeconomic scenarios for implementation.
This book discusses risk management, product pricing, capital management and Return on Equity comprehensively and seamlessly. Strategic planning, including the required quantitative methods, is an essential part of bank management and control. A thorough introduction to the advanced methods of risk management for Credit Risk, Counterparty Credit Risk, Market Risk, Operational Risk and Risk Aggregation is provided. In addition, directly applicable concepts and data such as macroeconomic scenarios for strategic planning and stress testing as well as detailed scenarios for Operational Risk and advanced concepts for Credit Risk are presented in straightforward language. The book highlights the implications and chances of the Basel III and Basel IV implementations (2022 onwards), especially in terms of capital management and Return on Equity. A wealth of essential background information from practice, international observations and comparisons, along with numerous illustrative examples, make this book a useful resource for established and future professionals in bank management, risk management, capital management, controlling and accounting.

Inhaltsverzeichnis

1 Outline. - 2 Bank Management and Steering. - 3 Banks in their Regulatory and Economic Environment. - 4 Risk Modeling and Capital - Credit Risk (Loans). - 5 Risk Modeling and Capital - Counterparty Credit Risk (EPE). - 6 Risk Modeling and Capital - Credit Risk (Securitizations). - 7 Risk Modeling and Capital - Market Risk. - 8 Risk Modeling and Capital - Operational Risk. - 9 Risk Modeling - Asset Liability Management (ALM).

Mehr aus dieser Reihe

Produktdetails

Erscheinungsdatum
22. Mai 2020
Sprache
englisch
Auflage
Second Edition 2020
Seitenanzahl
152
Reihe
Economics and Finance
Autor/Autorin
Johannes Wernz
Illustrationen
XV, 133 p. 40 illus., 39 illus. in color.
Verlag/Hersteller
Produktart
gebunden
Abbildungen
XV, 133 p. 40 illus., 39 illus. in color.
Gewicht
401 g
Größe (L/B/H)
241/160/14 mm
ISBN
9783030428655

Portrait

Johannes Wernz

Johannes Wernz has many years of experience in the banking and insurance industries, as model manager, and in advisory and audit roles. He has been an advisor and consultant for several well-known international banks in London, Zurich, Frankfurt and other locations.

Bewertungen

0 Bewertungen

Es wurden noch keine Bewertungen abgegeben. Schreiben Sie die erste Bewertung zu "Bank Management and Control" und helfen Sie damit anderen bei der Kaufentscheidung.