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OverviewProfessional Perspectives on Banking and Finance is a collection of cutting-edge articles written by practitioners for practitioners. Addressing core topics such as risk management, corporate governance, and strategy, but with the emphasis on recent developments and their impact on the industry. These gathered chapters reflect a diverse global outlook, addressing issues of importance and relevance for all bankers. With 100% emphasis on accessible, clear, and applicable advice Professional Perspectives on Banking and Finance provides suggestions to instil best practice in any commercial bank. Full Product DetailsAuthor: Moorad Choudhry (The BTRM, UK)Publisher: Emerald Publishing Limited Imprint: Emerald Publishing Limited Dimensions: Width: 15.20cm , Height: 1.60cm , Length: 22.90cm Weight: 0.435kg ISBN: 9781835493359ISBN 10: 1835493351 Pages: 249 Publication Date: 12 June 2024 Audience: Professional and scholarly , Professional & Vocational 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 ContentsPart I: Current and Future Challenges in Banking Chapter 1. The Changing Business Landscape: Competitive Priorities for Resilient Banks; Moorad Choudhry Chapter 2. Strategic Risk Management in Banking; Khaliq Ali Chapter 3. Staying Ahead of the Curve: Macroeconomics and Balance Sheet Managements; Claire Trythall Chapter 4. Climate Change and Social Justice: Challenges for Banks in the Regulatory Landscape and Competitive Environment; Miranda Love Chapter 5. A Diversified Funding Profile for Banks: Including Green Bonds in the Liability Structure; Edward Bace Part II: Regulation and Risk Management Chapter 6. Back to Basics: The Future of Sustainable Banking; Graham Hillier Chapter 7. Bank Regulation: Where We’ve Been, and Where Are We Going?; Peter Eisenhardt Chapter 8. Are We Heading Towards ‘Basel V’? Climate, Cryptos and Other Challenges for Banks; Periklis Thivaios Chapter 9. Counterparty Credit Risk: Lessons from Recent Events; Andreas Ita Part III: Best-Practice in Interest-Rate Risk Management Chapter 10. IRRBB: Moving from Regulatory Reporting to Balance Sheet Insights and Management Information; Arnau Lopez Chapter 11. Hedging Strategies for Pipeline Hedging, Prepayment Hedging and Structural Hedging; Beata Lubinska Chapter 12. Modelling Mortgage Prepayments in Uncertainty: The Rate Incentive Approach; Claire Trythall Chapter 13. The Future of Structural Interest Rate Hedging; Patrick Carey Part IV: Trading and Relative Value Perspectives Chapter 14. The Gilt Futures Basis: Analysis and Trading; Trevor PughReviewsAuthor InformationProfessor Moorad Choudhry is an independent non-executive director at Recognise Bank Limited, and Honorary Professor at University of Kent Business School. He was latterly Treasurer, Corporate Banking Division, at The Royal Bank of Scotland. Moorad is a Fellow of the Chartered Institute of Securities and Investment and a Liveryman at the Worshipful Company of International Bankers. His previous works include The Principles of Banking, 2nd ed., Bank Asset-Liability Management and The Future of Finance. Tab Content 6Author Website:Countries AvailableAll regions |