Bank Financial Management: Strategies and Techniques for a Changing Industry
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More About This Title Bank Financial Management: Strategies and Techniques for a Changing Industry

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Provides up-to-date coverage of the primary aspects of bank financial management. Fundamental financial instrumental techniques, such as basic asset investment and funding instruments, basic mathematics for measuring costs and yields, and interest and yield curve analysis are covered. Shows managers how to evaluate bank performance, then details the elements of bank asset and bank liability management. New financial alternatives and strategies are covered, including funding alternatives, pricing off balance sheet items, and contingent claims products. International banking and foreign exchange are also discussed. In addition, it deals with bank mergers and acquisitions, interest sensitivity and interest rate risk, and their impact on integrative bank financial management decisions.

English

Partial table of contents:

THE CHANGING NATURE OF BANK FINANCIAL MANAGEMENT.

Today's Banking Environment.

MEASURING AND EVALUATING BANK PERFORMANCE.

Understanding a Bank's Financial Statements.

BASIC FINANCIAL INSTRUMENTS AND TECHNIQUES.

Instruments Used to Attract Bank Funds.

BANK ASSET MANAGEMENT.

Measuring and Meeting Liquidity Needs.

BANK LIABILITY MANAGEMENT.

Capital Management, Sustainable Growth, and Dividend Policy.

NEW FINANCIAL STRATEGIES.

International Banking and Foreign Exchange.

INTEGRATIVE BANK FINANCIAL MANAGEMENT DECISIONS.

Bank Mergers and Acquisitions.

Appendices.

Index.
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