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Banking and Effective Capital Regulation in Practice: A Leadership Perspective: Banking, Money and International Finance

Autor Sophia Velez
en Limba Engleză Paperback – 30 mai 2022
Due to a historical lack of attention to the importance of modelling, measuring and managing risk, senior bank leaders are struggling to implement unified practices within their financial institutions that could address the gaps posed by risky management behaviour, rogue trading, liquidity crises, prohibited investments in mortgage-backed securities, and default risks aligned with loans. This book discusses the theories at play between bank agents (bank managers) and their principals (shareholders), a topic which has gained importance as a result of the banking crisis, and similarly, governed the need for more efficient risk management and ethical managerial practices.
The author worked with a senior bank leadership team to identify and describe effective capital regulation practices that can lead to a reduction in loss and risky management behavioural practices. The book offers consensus on a number of activities that bank managers can implement to address bank risk. It analyses the relevant factors that determine the necessity for banking regulation and the important role of regulation in managing banking crises. The author’s analysis of the important regulatory aspects in developed countries such as the US, offers a useful conceptual framework for creating an adequate banking regulatory environment in developing countries.
This book offers an original contribution to the field of banking that undergraduate, masters, PhD students, academics and researchers can use to gain a deeper understanding of the constructs at play in the banking industry.
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Specificații

ISBN-13: 9780367523626
ISBN-10: 0367523620
Pagini: 162
Ilustrații: 34 Tables, black and white; 7 Line drawings, black and white; 7 Illustrations, black and white
Dimensiuni: 156 x 234 x 9 mm
Greutate: 0.26 kg
Ediția:1
Editura: Taylor & Francis
Colecția Routledge
Seria Banking, Money and International Finance

Locul publicării:Oxford, United Kingdom

Public țintă

Postgraduate and Undergraduate

Cuprins

Part 1: Mega Banks Significant Losses  1: Losses of Mega Banks and Economic Impact  2: Bank Managers Practices and Significant Losses  3: Risky Management Practices and Principal Theory  4: Risky Management Practices and Goal Theory  5: OCEG Standards  Part 2: Government Regulations and Compliance Environment  6: Dodd-Frank Bill 2010 and Regulatory Environment  7: Risk Management Efforts and Excessive Risk Taking  8: Governance and Monetary Policy  9: CCAR and DFAST Testing  10: Bank Manager’s Failed CCAR and DFAST Efforts  Part 3: Bank Leadership Consensus on Capital Regulation Practices  11: Understanding Capital Regulation Challenges  12: Risk Appetite, Capital Structure, Stress Test and Governance  13: Risky Identification and Communication  14: Timely Reporting  15: Assurance Functions  16: Compliance Analytics  17: Comprehensive Risk Management Framework

Notă biografică

Sophia Velez has over 16 years of experience as a Certified Public Accountant (CPA), providing consulting services to large banks.

Descriere

This book centres around a 3-round qualitative e-Delphi study among banking finance experts across the United States on how to recognize senior manager’s effective capital regulation practices in banks.