Liquidity Risk Management. with special interest to the Hungarian banking sector

Liquidity Risk Management. with special interest to the Hungarian banking sector

Eszter Baranyai

     

бумажная книга



Издательство: Книга по требованию
Дата выхода: июль 2011
ISBN: 978-3-6391-1047-0
Объём: 80 страниц
Масса: 141 г
Размеры(В x Ш x Т), см: 23 x 16 x 1

The book focuses on the different liquidity risk measurement and management techniques and models, with the objective of giving an overview of the possibilities Hungarian banks may opt for. The proper management of liquidity risk is receiving growing attention lately primarily due to the increase in risk factors and to the effect of recently experienced crises. Numerous changes in market trends have augmented liquidity risk exposure, for example the growing loan/deposit ratio and wholesale funding, the fact that banks are becoming more and more lenders of second resort, etc. The different types of liquidity risk and a possible liquidity risk management process and structure are discussed. It is impossible to examine liquidity risk management techniques without getting familiarized with the framework in Hungary. This framework includes regulations and recommendations of the Hungarian Financial Supervisory Authority (PSZAF), the second pillar of Basel II, central bank (MNB) tools, interbank market characteristics and market trends. Finally, the book offers practical advice in relation with liquidity management strategies, techniques, systems and controls.

Данное издание не является оригинальным. Книга печатается по технологии принт-он-деманд после получения заказа.