Books on the topic 'Asset and liability management of the bank'
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The Hong Kong Institute of Bankers. Bank Asset and Liability Management. John Wiley & Sons Singapore Pte. Ltd., 2018. http://dx.doi.org/10.1002/9781119444497.
Full textDeutsch, Gary M. Bank treasurer's manual. Sheshunoff Information Services Inc., 1989.
Find full textAmerican Bankers Association. Education Policy and Development Group., ed. Bank investments & funds management. 2nd ed. Education Policy & Development, American Bankers Association, 1991.
Find full textMarkovich, Denise E. Effective asset/liability management for the community bank. Bankers Publishing, Bank Administration Institute, 1988.
Find full textMa, Guonan. China's asset management corporations. Bank for International Settlements, Monetary and Economic Dept., 2002.
Find full textBill, Williams. Asset/liability measurement techniques / by Bill Williams. Bank Administration Institute, 1987.
Find full textBank asset/liability management: The impact, issues, and trends. Probus Pub. Co., 1994.
Find full textHeinz, Zimmermann. Asset- und Liability-Management: Erfolgsstrategie für Banken. Verlag Neue Zürcher Zeitung, 1995.
Find full textStrategic bank asset liability management: A multi-objective decision model and decision support system for strategic bank asset liability management. P. Lang, 1989.
Find full textJohnson, Hazel. Bank asset/liability management: The impact, issues and trends. Probus, 1994.
Find full textPayant, W. Randall. Maximizing bank value: Asset/Liability in the 1990's. Bankers Publishing, 1989.
Find full textRichard, Harrington. Asset and liability management by banks. Organisation for Economic Co-Operation and Development, 1987.
Find full textA, Goddard Robert, ed. Successful bank asset/liability management: A guide to the future beyond gap. Wiley, 1992.
Find full textChoudhry, Moorad. An introduction to banking: Liquidity risk and asset-liability management. John Wiley, 2011.
Find full textSumner, Christopher J. Covering your assets: A guide for bank directors in the new millennium. Garn Institute of Finance, David Eccles School of Business, University of Utah, 2000.
Find full textRuthenberg, David. Nihul banḳaʼi be-Yiśraʼel: Nihul nekhasim, hitḥayevuyotṿe-sikunim. Keter, 2002.
Find full textIkeo, Kazuhito. Ginkō risuku to kisei no keizaigaku: Atarashii ginkōron no kokoromi. Tōyō Keizai Shinpōsha, 1990.
Find full textEckhold, Kelly R. Bank asset valuation and risk in Australasia: The market's evaluation. Reserve Bank of New Zealand, 1994.
Find full textJohnathan, Mun, and Moody's-KMV, eds. Managing bank risk: An introduction to broad-base credit engineering. Boston, 2003.
Find full textGennotte, Gerard. Capital controls and bank regulation /by Gerard Gennotte and David Pyle. Banca d'Italia, 1987.
Find full textGorton, Gary. Bank capital regulation in general equilibrium. National Bureau of Economic Research, 1995.
Find full textDelano, Villanueva, ed. Financial system soundness and risk-based supervision. South East Asian Central Banks, Research and Training Centre, 1998.
Find full textDermine, Jean. Bank valuation & value-based management: Deposit and loan pricing, performance evaluation, and risk management. McGraw-Hill, 2009.
Find full textWilkinson, James T. Asset/liability management basics for community financial institutions. Financial Managers Society, 2004.
Find full textUyemura, Dennis G. Financial risk management in banking: The theory & application of asset & liability management. Bankers Pub. Co., 1993.
Find full textNyberg, Minka N. Verhaltensrisiken in der Vermögensverwaltung und im Kreditgeschäft. P. Haupt, 1998.
Find full textCorlosquet-Habart, Marine, William Gehin, Jacques Janssen, and Raimondo Manca. Asset and Liability Management for Banks and Insurance Companies. John Wiley & Sons, Inc., 2015. http://dx.doi.org/10.1002/9781119184607.
Full textFinancial institutions in South Africa: Financial, investment and risk management. Juta & Co., 1993.
Find full textManaging bank capital: Capital allocation and performance measurement. Wiley, 1996.
Find full textGurwitz, Aaron S. Risk-based capital adequacy standards: Impact on bank portfolios and fixed income markets. Goldman Sachs, 1989.
Find full textServices, Sheshunoff Information. Community bank guide to improving profits. Sheshunoff Information Services, 1992.
Find full textDermine, Jean. Bank valuation & value-based management: Deposit and loan pricing, performance evaluation, and risk management. McGraw-Hill, 2009.
Find full textStein, Jeremy C. An adverse selection model of bank asset and liability management with implications for the transmission of monetary policy. NBER, 1995.
Find full textStein, Jeremy C. An adverse selection model of bank asset and liability management with implications for the transmission of monetary policy. National Bureau of Economic Research, 1995.
Find full textPeek, Joe. The role of real estate in the New England credit crunch. Federal Reserve Bank of Boston, 1992.
Find full textGlantz, Morton. Credit engineering for bankers: A practical guide for bank lending. Elsevier, 2011.
Find full textJian she yin hang zi chan fu zhai guan li. Zhongguo cai zheng jing ji chu ban she, 1992.
Find full textSparkassenhistorisches Symposium (2008 Dresden, Germany). Geschäftspolitische Steuerung: Die Sparkassen zwischen Renditeorientierung und Gemeinwohl : Sparkassenhistorisches Symposium 2008, veranstaltet von der Wissenschaftsförderung der Sparkassen-Finanzgruppe e.V. in Zusammenarbeit mit der Ostsächsischen Sparkasse Dresden am 26. September 2008. Deutscher Sparkassenverlag, 2010.
Find full textAssociated Chambers of Commerce & Industry of India. Non-performing assets (NPAs): Good management by banks amid cautious future. The Associated Chambers of Commerce and Industry of India, 2011.
Find full text(HKIB), Hong Kong Institute of Bankers. Bank Asset and Liability Management. Wiley & Sons, Incorporated, John, 2018.
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