Books on the topic 'Model of asset and liability management'
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Zenios, Stavros Andrea. Handbook of asset and liability management. North Holland, 2008.
Find full textMarohn, Christina A. Stochastische mehrstufige lineare Programmierung im Asset- & -Liability-Management. P. Haupt, 1998.
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 textAdam, Alexandre. Handbook of asset and liability management: From models to optimal return strategies. John Wiley & Sons, 2007.
Find full textEckhold, Kelly R. Bank asset valuation and risk in Australasia: The market's evaluation. Reserve Bank of New Zealand, 1994.
Find full textGennotte, Gerard. Capital controls and bank regulation /by Gerard Gennotte and David Pyle. Banca d'Italia, 1987.
Find full textBooth, G. Geoffrey. A multiperiod goal programming model for managing interest-rate risk in banks and thrifts. Federal Home Loan Bank Board, Office of Policy and Economic Research, 1988.
Find full textZheng, Harry. The duration derby: A comparison of duration based strategies in asset liability management. University of Southampton, School of Management, 2001.
Find full textSchürle, Michael. Zinsmodelle in der stochastischen Optimierung: Mit Anwendungen im Asset- & Liability-Management. P. Haupt, 1998.
Find full textAgasandi︠a︡n, G. A. O korrektnosti semeĭstv funkt︠s︡iĭ riskovykh predpochteniĭ investora dli︠a︡ kontinualʹnogo kriterii︠a︡ VaR. Vychislitelʹnyĭ t︠s︡entr im. A.A. Dorodnit︠s︡yna RAN, 2009.
Find full textLuigi, Fabrizi Pier, and Associazione tesorieri istituzioni creditizie, eds. Nuovi modelli di gestione dei flussi finanziari nelle banche. A. Giuffrè, 1995.
Find full textNyholm, Ken. Strategic Asset Allocation in Fixed Income Markets. John Wiley & Sons, Ltd., 2008.
Find full textGorton, Gary. Bank capital regulation in general equilibrium. National Bureau of Economic Research, 1995.
Find full textNyholm, Ken, Arjan B. Berkelaar, and Joachim Coche. Interest rate models, asset allocation and quantitative techniques for central banks and sovereign wealth funds. Palgrave Macmillan, 2010.
Find full textBerkelaar, Arjan B. Interest rate models, asset allocation and quantitative techniques for central banks and sovereign wealth funds. Palgrave Macmillan, 2010.
Find full textLeibowitz, Martin L. Investing: The collected works of Martin L. Leibowitz / Frank J. Fabozzi, editor ; foreword by William F. Sharpe. Probus Publishing Co., 1992.
Find full textPeat, Marwick, Mitchell & Co. and American Bankers Association, eds. A Guide for selecting ALM microcomputer models: A comprehensive survey. American Bankers Association, 1987.
Find full textDeventer, Donald R. van. Financial risk analytics: A term structure model approach for banking, insurance and investment management. Irwin Professional Publ., 1997.
Find full textItō, Takatoshi. Impacts of the Basle capital standard on Japanese banks' behavior. National Bureau of Economic Research, 1998.
Find full textStevenson, Ricahrd A. Asset-liability management. 2nd ed. Kendall/Hunt Pub., 1994.
Find full textStevenson, Richard A. Asset-liability management. 2nd ed. Kendall/Hunt Pub., 1994.
Find full textBinsbergen, Jules H. van. Optimal asset allocation in asset liability management. National Bureau of Economic Research, 2007.
Find full textBinsbergen, Jules H. van. Optimal asset allocation in asset liability management. National Bureau of Economic Research, 2007.
Find full textMitra, Gautam, and Katharina Schwaiger, eds. Asset and Liability Management Handbook. Palgrave Macmillan UK, 2011. http://dx.doi.org/10.1057/9780230307230.
Full textJost, Christiane. Asset-Liability Management bei Versicherungen. Gabler Verlag, 1995. http://dx.doi.org/10.1007/978-3-663-05963-9.
Full textThe 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 textMa, Guonan. China's asset management corporations. Bank for International Settlements, Monetary and Economic Dept., 2002.
Find full textSpillmann, Martin, Karsten Döhnert, and Roger Rissi. Asset Liability Management (ALM) in Banken. Springer Fachmedien Wiesbaden, 2019. http://dx.doi.org/10.1007/978-3-658-25202-1.
Full textAdam, Alexandre, ed. Handbook of Asset and Liability Management. John Wiley & Sons, Inc., 2012. http://dx.doi.org/10.1002/9781119209133.
Full textRichard, Harrington. Asset and liability management by banks. Organisation for Economic Co-Operation and Development, 1987.
Find full textEducation, Institute of Financial, ed. Asset/liability management for savings institutions. Institute of Financial Education, 1989.
Find full textHeinz, Zimmermann. Asset- und Liability-Management: Erfolgsstrategie für Banken. Verlag Neue Zürcher Zeitung, 1995.
Find full textGardner, Mona J. Managing financial institutions: An asset/liability approach. 3rd ed. Dryden Press, 1994.
Find full textGardner, Mona J. Managing financial institutions: An asset/liability approach. Dryden Press, 1988.
Find full textGardner, Mona J. Managing financial institutions: An asset/liability approach. 2nd ed. Dryden Press, 1991.
Find full textSchwaiger, Katharina, and Gautam Mitra. Asset and Liability Management Handbook. Palgrave Macmillan, 2011.
Find full text(Editor), Stavros A. Zenios, and William T. Ziemba (Editor), eds. Handbook of Asset and Liability Management, Volume 2: Applications and Case Studies (Handbook of Asset and Liability Management) (Handbook of Asset and Liability Management). North Holland, 2007.
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 textFranks, Julian, Colin Mayer, and Luis Correia da Silva. Asset Management and Investor Protection: An International Analysis (Economics & Finance). Oxford University Press, USA, 2003.
Find full textAdam, Alexandre. Advanced Liquidity Risk Models: Asset and Liability Management. Wiley & Sons, Limited, John, 2017.
Find full textAdam, Alexandre. Advanced Liquidity Risk Models: Asset and Liability Management. Wiley & Sons, Incorporated, John, 2017.
Find full textAdam, Alexandre. Advanced Liquidity Risk Models: Asset and Liability Management. Wiley & Sons, Incorporated, John, 2017.
Find full textAdam, Alexandre. Handbook of Asset and Liability Management: From Models to Optimal Return Strategies. Wiley & Sons, Incorporated, John, 2009.
Find full textAdam, Alexandre. Advanced Interest Rate Risk Models: Asset and Liability Management. Wiley & Sons, Limited, John, 2014.
Find full textAsset-Liability-Management für private Investoren: Eine theoretische und empirische Untersuchung. P. Haupt, 1997.
Find full textZenios, Stavros A., and William T. Ziemba. Handbook of Asset and Liability Management: Applications and Case Studies. Elsevier Science & Technology Books, 2007.
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