Strategies of Banks and Other Financial Institutions Book

Strategies of Banks and Other Financial Institutions


  • Author : Rajesh Kumar
  • Publisher : Elsevier
  • Release Date : 2014-07-16
  • Genre: Business & Economics
  • Pages : 544
  • ISBN 10 : 9780124171671

DOWNLOAD BOOK
Strategies of Banks and Other Financial Institutions Excerpt :

How and why do strategic perspectives of financial institutions differ by class and region? Strategies of Banks and Other Financial Institutions: Theories and Cases is an introduction to global financial institutions that presents both theoretical and actual aspects of markets and institutions. The book encompasses depository and non-depository Institutions; money markets, bond markets, and mortgage markets; stock markets, derivative markets, and foreign exchange markets; mutual funds, insurance, and pension funds; and private equity and hedge funds. It also addresses Islamic financing and consolidation in financial institutions and markets. Featuring up-to-date case studies in its second half, Strategies of Banks and Other Financial Institutions proposes a useful theoretical framework and strategic perspectives about risk, regulation, markets, and challenges driving the financial sectors. Describes theories and practices that define classes of institutions and differentiate one financial institution from another Presents short, focused treatments of risk and growth strategies by balancing theories and cases Places Islamic banking and finance into a comprehensive, universal perspective

Banking Strategy  Credit Appraisal  and Lending Decisions Book

Banking Strategy Credit Appraisal and Lending Decisions


  • Author : Hrishikesh Bhattacharya
  • Publisher : Oxford University Press
  • Release Date : 2011-10-03
  • Genre: Business & Economics
  • Pages : null
  • ISBN 10 : 9780199088560

DOWNLOAD BOOK
Banking Strategy Credit Appraisal and Lending Decisions Excerpt :

This book provides a thorough analysis of capital strategies, asset–liabilities management, and lending strategies within the overall framework of a lending organization. It presents methadologies for risk analysis, credit appraisal, and lending decisions with specific examples. Taking into account recent global developments, this revised edition includes three new chapters which discuss the impact of capital regulation on the risk attiude and profitability of banks, strategies to protect banks from a liquidity crisis, and the need for a portfolio approach in developing models for credit exposure and loan management within a risk–return framework. Using real life examples and case studies, this book imparts students and prefessionals wih required skills to manage finance and credit in banking and related fields in the financial sector. It is essential reading for researchers, aspiring and practising chartered accountants, bankers, financial analysts, and credit managers.

Competitive Strategies in European Banking Book

Competitive Strategies in European Banking


  • Author : Jordi Canals
  • Publisher : Oxford University Press on Demand
  • Release Date : 1994
  • Genre: Banks and banking
  • Pages : 284
  • ISBN 10 : 0198773501

DOWNLOAD BOOK
Competitive Strategies in European Banking Excerpt :

A study of European banking using the analytical approach of a modern industrial economist. It surveys both the changing structure of the commercial banking industry in Europe and the strategic implications of these changes.

Strategies of Banks and Other Financial Institutions Book

Strategies of Banks and Other Financial Institutions


  • Author : Rajesh Kumar
  • Publisher : Academic Press
  • Release Date : 2014-07-11
  • Genre: Business & Economics
  • Pages : 539
  • ISBN 10 : 012416997X

DOWNLOAD BOOK
Strategies of Banks and Other Financial Institutions Excerpt :

How and why do strategic perspectives of financial institutions differ by class and region? Strategies of Banks and Other Financial Institutions: Theories and Cases is an introduction to global financial institutions that presents both theoretical and actual aspects of markets and institutions. The book encompasses depository and non-depository Institutions; money markets, bond markets, and mortgage markets; stock markets, derivative markets, and foreign exchange markets; mutual funds, insurance, and pension funds; and private equity and hedge funds. It also addresses Islamic financing and consolidation in financial institutions and markets. Featuring up-to-date case studies in its second half, Strategies of Banks and Other Financial Institutions proposes a useful theoretical framework and strategic perspectives about risk, regulation, markets, and challenges driving the financial sectors. Describes theories and practices that define classes of institutions and differentiate one financial institution from another Presents short, focused treatments of risk and growth strategies by balancing theories and cases Places Islamic banking and finance into a comprehensive, universal perspective

Building an International Financial Services Firm Book

Building an International Financial Services Firm


  • Author : Markus Venzin
  • Publisher : OUP Oxford
  • Release Date : 2009-01-22
  • Genre: Business & Economics
  • Pages : 386
  • ISBN 10 : 9780191608995

DOWNLOAD BOOK
Building an International Financial Services Firm Excerpt :

A new era of global banking and insurance is emerging, with leading banks eager to serve international markets. This book explores the issues that arise for banks in their strategic choices as they move into these new international markets. Building an International Financial Services Firm challenges conventional assumptions from the international management literature on topics such as the limits of globalization, the importance of cultural and institutional distance, the nature of economies of scale and scope, the existence of first mover advantages, the logic behind the global value chain configuration, the speed and timing of market entry, as well as organizational architecture. It focuses on fundamental strategic decisions such as when, where, and how to enter foreign markets and how to design the organizational architecture of the multinational financial services firm. Using simple theoretical frameworks illustrated by case examples, this book provides a thorough guide to the challenges of the international market for financial services firms, both for those working in the financial services industry, and researchers studying the area.

Bank Funding Strategies Book

Bank Funding Strategies


  • Author : Fabrizio Crespi
  • Publisher : Springer
  • Release Date : 2017-11-30
  • Genre: Business & Economics
  • Pages : 147
  • ISBN 10 : 9783319694139

DOWNLOAD BOOK
Bank Funding Strategies Excerpt :

This book illustrates the importance of bonds as a funding tool available to banks. After providing the reader with an overview of the funding strategies adopted during the last ten years by European banks, the book offers a deep focus on the Italian banking industry. Notably, the authors illustrate how bonds have been a primary funding choice for Italian banks, as well as a preponderant asset in Italian households’ portfolios. Furthermore, they highlight the consequences of the adoption of the Bank Recovery and Resolution Directive (BRRD) on the yields offered by bonds of Italian banks. Finally, they conclude the volume with the illustration of very recent case studies about the application of the BRRD to some problematic banks in Italy and the related side effects generated to bank bondholders. All the analyses presented in the book are supported by the use of quantitative data.

Bank and Insurance Capital Management Book

Bank and Insurance Capital Management


  • Author : Frans de Weert
  • Publisher : John Wiley & Sons
  • Release Date : 2011-10-14
  • Genre: Business & Economics
  • Pages : 352
  • ISBN 10 : 9780470971642

DOWNLOAD BOOK
Bank and Insurance Capital Management Excerpt :

In the aftermath of the financial crisis, capital management has become a critical factor in value creation for banks and other financial institutions. Although complex and subject to regulatory change, the strategic importance of capital management became apparent during the crisis and has moved the subject to the top of corporate agendas. Bank and Insurance Capital Management is an essential guide to help banks and insurance companies understand and manage their capital position. Bridging the gap between theory and practice, it provides proven techniques for managing bank capital, as well as explaining key capital management perspectives, including accounting, regulatory, risk and capital management and corporate finance. It also shows how to analyze a firm's stakeholders such as depositors, policy holders, debt holders and shareholders, and manage their expectations, and how to align risk and capital management so as to best optimize the return on capital and preserve capital in periods of stress. Economic capital is also discussed in depth, as are the practicalities of bank and insurance M&A, and the book also shows how financial innovations can be used to optimise the capital position and how diversification effects are reflected in the capital position. This book will arm readers with the knowledge and skills needed to understand how capital management can improve capital structure and performance, achieving an optimal cost of, and return on capital, creating value as a result.

Principles of Financial Regulation Book

Principles of Financial Regulation


  • Author : John Armour
  • Publisher : Oxford University Press
  • Release Date : 2016
  • Genre: Law
  • Pages : 698
  • ISBN 10 : 9780198786474

DOWNLOAD BOOK
Principles of Financial Regulation Excerpt :

The financial crisis of 2007-9 revealed serious failings in the regulation of financial institutions and markets, and prompted a fundamental reconsideration of the design of financial regulation. As the financial system has become ever-more complex and interconnected, the pace of evolution continues to accelerate. It is now clear that regulation must focus on the financial system as a whole, but this poses significant challenges for regulators. Principles of Financial Regulation describes how to address those challenges. Examining the subject from a holistic and multidisciplinary perspective, Principles of Financial Regulation considers the underlying policies and the objectives of regulation by drawing on economics, finance, and law methodologies. The volume examines regulation in a purposive and dynamic way by framing the book in terms of what the financial system does, rather than what financial regulation is. By analysing specific regulatory measures, the book provides readers to the opportunity to assess regulatory choices on specific policy issues and encourages critical reflection on the design of regulation.

Financial Sector Development Strategy 2011 2020  Cambodia  Book

Financial Sector Development Strategy 2011 2020 Cambodia


  • Author : Asian Development Bank
  • Publisher : Asian Development Bank
  • Release Date : 2012-08-01
  • Genre: Business & Economics
  • Pages : 103
  • ISBN 10 : 9789290926894

DOWNLOAD BOOK
Financial Sector Development Strategy 2011 2020 Cambodia Excerpt :

With a rapidly growing commercial economy that requires a sound financial system to sustain growth, Cambodia is committed to the long-term development of the financial sector, channeling financial resources to productive investments, and managing the inherent risks to achieve sustainable economic growth over the long term and contribute to poverty reduction. Financial Sector Development Strategy 2011–2020 reflects Cambodia’s achievements to date, provides an assessment of current challenges and constraints to financial sector development, the long-term goals, and a prioritized set of action plans for the next decade. Said strategy will enable Cambodia’s financial sector to integrate into the regional financial system and support her long-term economic development agenda.

Handbook for Banking Strategy Book

Handbook for Banking Strategy


  • Author : Richard C. Aspinwall
  • Publisher : John Wiley & Sons Incorporated
  • Release Date : 1985-01-18
  • Genre: Business & Economics
  • Pages : 832
  • ISBN 10 : UOM:35128000885127

DOWNLOAD BOOK
Handbook for Banking Strategy Excerpt :

A comprehensive handbook for bank managers, corporate planning executives and graduate students, surveying recent fundamental changes in financial institutions and markets and analyzing their strategic implications for bank management. Noted authorities assess the growing importance of financial intermediaries and address the ``whys'' of changes in intermediation. Major shifts in financing practices are examined in light of the effects of inflation, technology and regulation. Chapters also explore specific changes in banking services, customers, suppliers, and regulation.

Bank Regulation Book

Bank Regulation


  • Author : Anna-Karin Stockenstrand
  • Publisher : Taylor & Francis
  • Release Date : 2017-01-20
  • Genre: Business & Economics
  • Pages : 376
  • ISBN 10 : 9781317190684

DOWNLOAD BOOK
Bank Regulation Excerpt :

Bank Regulation: Effects on Strategy, Financial Accounting and Management Control discusses and problematizes how regulation is affecting bank strategies as well as their financial accounting and management control systems. Following a period of bank de-regulation, the new millennium brought a drastic change, with many new regulations. Some of these are the result of the financial crisis of 2008-2009. Other regulations, such as the introduction in 2005 of International Financial Reporting Standards (IFRS) for quoted companies in the EU, can be related to the introduction of a new global accounting regime. It is evident from annual reports of banks that the number of new regulations in recent years is high and that they cover many different functional areas. The objectives of these regulations are also ambitious; to improve governance and control, contributing to a high level of financial stability for banks. These objectives are obviously of great concern for an industry that directly and indirectly affects the financial situation not only of individuals and organizations but also nation states. Considering the importance of banks in society, it is of little surprise that the attention of both scholars and practitioners has been directed towards how banks comply with new regulations and if the intended objectives of the regulations are met. This book will be of great value to all those interested in financial stability matters (practitioners, policy-makers, students, academics), as well as to accounting and finance scholars.

Strategic Financial Management Casebook Book

Strategic Financial Management Casebook


  • Author : Rajesh Kumar
  • Publisher : Academic Press
  • Release Date : 2017-01-05
  • Genre: Business & Economics
  • Pages : 604
  • ISBN 10 : 9780128093528

DOWNLOAD BOOK
Strategic Financial Management Casebook Excerpt :

Strategic Financial Management Casebook strategically uses integrative case studies—cases that do not emphasize specific subjects such as capital budgeting or value based management—to provide a framework for understanding strategic financial management. By featuring holistic presentations, the book puts readers into the shoes of those responsible for the world’s largest wealth creators. It covers strategies of growth, mergers and acquisitions, financial performance analysis over the past decade, wealth created in terms of stock returns since its listing in stock market, investment and financial decisions, cost of capital, and corporate valuation. In addition, the casebook also discusses corporate restructuring activities undertaken by each company. Each chapter follows a template to facilitate learning, and each features an Excel-based case analysis worksheet that includes a complete data set for financial analysis and valuation. Introduces a conceptual framework for integrating strategy and finance for value creation Emphasizes the roles of corporate governance, corporate social responsibility, and risk management in value creation Encourages an analysis of investment, financing, and dividend decisions Examines non-financial factors that contribute to value

Bank Regulation Book

Bank Regulation


  • Author : Taylor & Francis Group
  • Publisher : Routledge
  • Release Date : 2018-10-26
  • Genre: Uncategoriezed
  • Pages : 376
  • ISBN 10 : 0367026546

DOWNLOAD BOOK
Bank Regulation Excerpt :

Bank Regulation: Effects on Strategy, Financial Accounting and Management Control discusses and problematizes how regulation is affecting bank strategies as well as their financial accounting and management control systems. Following a period of bank de-regulation, the new millennium brought a drastic change, with many new regulations. Some of these are the result of the financial crisis of 2008-2009. Other regulations, such as the introduction in 2005 of International Financial Reporting Standards (IFRS) for quoted companies in the EU, can be related to the introduction of a new global accounting regime. It is evident from annual reports of banks that the number of new regulations in recent years is high and that they cover many different functional areas. The objectives of these regulations are also ambitious; to improve governance and control, contributing to a high level of financial stability for banks. These objectives are obviously of great concern for an industry that directly and indirectly affects the financial situation not only of individuals and organizations but also nation states. Considering the importance of banks in society, it is of little surprise that the attention of both scholars and practitioners has been directed towards how banks comply with new regulations and if the intended objectives of the regulations are met. This book will be of great value to all those interested in financial stability matters (practitioners, policy-makers, students, academics), as well as to accounting and finance scholars.

Banking and Financial Institutions Book

Banking and Financial Institutions


  • Author : Benton E. Gup
  • Publisher : John Wiley & Sons
  • Release Date : 2011-06-01
  • Genre: Business & Economics
  • Pages : 385
  • ISBN 10 : 1118087488

DOWNLOAD BOOK
Banking and Financial Institutions Excerpt :

A practical guide to the evolving world of banking and financial institutions Due to various factors, ranging from the global financial crisis that began in 2007 to new laws such as the Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010, banks and financial institutions have had to alter the way they operate. Understanding how these institutions function in the face of recent challenges is essential for anyone associated with them. That's why Professor Benton Gup has created Banking and Financial Institutions. Opening with a detailed discussion of the causes of the recent financial crisis, as well as a look at some lessons we can learn from it and other crises, this reliable resource quickly moves on to put modern banking in perspective. Filled with in-depth insights and expert advice, Banking and Financial Institutions examines the essential aspects of this discipline and shows you what it takes to make the most informed decisions possible, whether you're a bank director, investor, or borrower. Explains the economic role of financial intermediaries, including the financial institutions that bring borrowers and savers together Addresses how banks can hedge some of their interest rate and credit risks by using various types of derivatives contracts, options, and futures Analyzes the process of commercial and industrial (C&I) lending, from how banks make loans and the types of C&I loans to the role of collateral Allows you to evaluate a bank's financial statements and performance Explores payments systems, including cash, checks, credit cards, wire transfers, and other means of payment Rounding out this detailed banking guide is an informative chapter on Islamic banking written by Professor Mohamed Ariff of Bond University, as well as a chapter filled with tips for bank directors, borrowers, and investors contributed by John Harrison, the Superintendent of Banks, Alabama State Banking Department.