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OverviewThe book provides a comprehensive analysis of the risk facing private banks individually, and as part of an integrated system, from the growth of international sovereign borrowing. The development of indebtedness in the 1970s and 1980s is explored with the structural changes in the pattern of global economic activity as well as the oil price increases at the centre of the account. With these fundamental changes, how appropriate is the provision of finance through international private banks? The risks involved, in maturity transformation and interbank activity are examined. Considerations of portfolio management are also assessed with reference to sovereign debt. The book also includes case studies of the growth of two major international banks between 1972 and 1981. In these, the rapid development of international lending is highlighted together with the major changes in the way this lending has been financed. Central here is the role of liability management permitting long term, large scale lending to be supported, in part by very short term funding. This analysis throws into relief the critical role of confidence in the major names and the pivotal role of interbank transactions. Full Product DetailsAuthor: P SnowdenPublisher: Taylor & Francis Ltd Imprint: Routledge Dimensions: Width: 15.60cm , Height: 1.10cm , Length: 23.40cm Weight: 0.460kg ISBN: 9780415529426ISBN 10: 0415529425 Pages: 156 Publication Date: 25 May 2012 Audience: General/trade , College/higher education , Professional and scholarly , General , Tertiary & Higher Education Format: Hardback Publisher's Status: Active Availability: In Print This item will be ordered in for you from one of our suppliers. Upon receipt, we will promptly dispatch it out to you. For in store availability, please contact us. Table of ContentsAcknowledgements. Introduction. 1. Changing Current Account Patterns in the 1970s 2. Global Investment ‘shifts’ and financing patterns 3. Outward-looking policies in an inward-looking world: the cases of Brazil and Chile 4. Financial intermediation, maturity transformation and inter-bank activity 5. Credit markets, loss risk and the forces of expansion 6. Bank balance sheet adjustment in a competitive environment 7. Conclusion: Some possible policy options. Index.ReviewsAuthor InformationMultivolume collection by leading authors in the field Tab Content 6Author Website:Countries AvailableAll regions |
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