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OverviewCredit Risk Management for Indian Banks is a one-stop reference book for practising credit risk professionals in the Indian banking sector. This is the first book of its kind, which is exclusively targets the practical needs of Indian bankers. It lays more emphasis on the ground realities of Indian banking and enunciates principles and guidelines of credit risk management based on real-life situations. Full Product DetailsAuthor: K VaidyanathanPublisher: SAGE Publications India Pvt Ltd Imprint: SAGE Publications India Pvt Ltd Dimensions: Width: 15.50cm , Height: 2.30cm , Length: 23.90cm Weight: 0.540kg ISBN: 9788132111023ISBN 10: 8132111028 Pages: 388 Publication Date: 18 August 2013 Audience: Professional and scholarly , Professional and scholarly , Professional & Vocational , Professional & Vocational Format: Paperback Publisher's Status: Active Availability: To order ![]() Stock availability from the supplier is unknown. We will order it for you and ship this item to you once it is received by us. Table of ContentsPreface Introduction Short-term Credit by Commercial Banks Long-term Credit by Commercial Banks Non-Fund based Credit Exposure-Bank Guarantee Non-Fund based Credit Exposure-Letters of Credit Retail Credit Risk and Economic Welfare Assessment of Credit Risk Non-performing Assets Credit Recovery and Legal Aspects of Credit Risk Processes in Management of Credit Risk Improving Credit Risk Management RBI Regulation and Capital Adequacy AppendicesReviewsThis is the first book of its kind which has a thorough and comprehensive treatment of credit risk pertinent to the Indian Banking Sector. I recommend this book as a must read for all banking professionals in India. -- V.K. Sharma This book addresses a long-felt need for a complete handbook for credit risk management. -- N.S. Venkatesh I haven't come across a reference book like this. It's a useful contribution to the literature on Indian Banking. -- Anup Bagchi I would recommend it as a mandatory reading for all entry level bank professionals and as a reference book for senior bankers. -- Ashish Agarwal Author InformationK. Vaidyanathan (Vaidya) is an expert in banking and financial services who specializes particularly in the management of credit and interest rate risks at financial institutions. An IIT-IIM alumnus, Vaidya acquired his expertise working with JPMorgan Chase Bank in Hong Kong, New York and Singapore and advising financial institutions and corporates in Asia-Pacific region on hedging and risk management. His wide area of financial expertise includes debt restructuring, acquisition financing, capital structure advisory, alternative investments, divestitures, mergers and acquisitions, especially in the Telecom, Media and Technology space. Vaidya is a Post-Doctoral Fellow at Santa Clara University and a Visiting Faculty at the University of Connecticut (USA), IIM Calcutta and SP Jain’s Singapore, Dubai and Sydney campuses. He is also a Consultant with the International Finance Corporation, World Bank Group. He has regularly conducted executive training programmes at institutions such as the Indian Bank Association (IBA), Bombay Stock Exchange (BSE) Training Institute, the Fixed Income Money Market and Derivatives Association of India (FIMMDA), global banks such as Citibank, Credit Suisse, Deutsche Bank, JPMorgan Chase, Morgan Stanley, Nomura, UBS and Indian banks such as ICICI, IFCI, IDBI, SBI and SIDBI. His executive training programmes have been conducted at the world’s leading financial centres such as Hong Kong, London, Mumbai, New York, Singapore and Tokyo. His executive training programmes cover topics such as Credit Risk, Asset Liability Management, Debt Capital Markets, Credit Derivatives, Basel II and Risk Management. He is the author of Credit Derivatives and has published extensively in reputed international finance journals. Vaidya holds a B.Tech. in Electrical Engineering from IIT, Kanpur, and an MBA from IIM, Ahmedabad. He is a Chartered Financial Analyst (CFA) from the CFA Institute, Charlottesville and a Financial Risk Manager (FRM) by the Global Association for Risk Professionals (GARP), New York. He is a PhD and a post-doctoral fellow from Santa Clara University. He is a regular columnist with the Financial Express (http://www.financialexpress. com/columnist/kvaidyanathan/1). Tab Content 6Author Website:Countries AvailableAll regions |