Mastering Collateral Management and Documentation

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Author :
Publisher : Pearson Education
ISBN 13 : 9780273659242
Total Pages : 616 pages
Book Rating : 4.6/5 (592 download)

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Book Synopsis Mastering Collateral Management and Documentation by : Paul C. Harding

Download or read book Mastering Collateral Management and Documentation written by Paul C. Harding and published by Pearson Education. This book was released on 2002 with total page 616 pages. Available in PDF, EPUB and Kindle. Book excerpt: A "one stop shop" for a detailed introduction to collateral management and documentation, giving the reader a thorough grounding in the subject.

Collateral Management

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Author :
Publisher : John Wiley & Sons
ISBN 13 : 0470973501
Total Pages : 752 pages
Book Rating : 4.4/5 (79 download)

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Book Synopsis Collateral Management by : Michael Simmons

Download or read book Collateral Management written by Michael Simmons and published by John Wiley & Sons. This book was released on 2019-04-29 with total page 752 pages. Available in PDF, EPUB and Kindle. Book excerpt: Insight into collateral management and its increasing relevance in modern banking In the wake of recent financial crises, firms of all sizes have adjusted their policies to incorporate more frequent instances of collateral management. Collateral Management: A Guide to Mitigating Counterparty Risk explains the connection between the need for collateral management in order to alleviate counterparty risk and the actions that firms must take to achieve it. Targeted at middle and back office managers seeking a hands-on explanation of the specifics of collateral management, this book offers a thorough treatment of the subject and attends to details such as internal record management, daily procedures used in making and receiving collateral calls, and settlement-related issues that affect the movements of cash and securities collateral. An expert in financial topics ranging from trade lifecycle to operational risk, author Michael Simmons offers readers insight into a field that, so far, is struggling to produce enough expertise to meet its high demand. Presents hands-on advice and examples from a bestselling, internationally renowned author who introduces his third book on operations and operations-related activities Explains the relationship between collateral management and preventing institutional defaults, such as the recent Lehman Brothers downfall Since 2008, firms have recognized and embraced the importance of collateral management, but this book will provide practitioners with a deeper understanding and appreciation of its relevance.

Clearing Services for Global Markets

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Author :
Publisher : Cambridge University Press
ISBN 13 :
Total Pages : 568 pages
Book Rating : 4./5 ( download)

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Book Synopsis Clearing Services for Global Markets by :

Download or read book Clearing Services for Global Markets written by and published by Cambridge University Press. This book was released on with total page 568 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Local Currency Collateral for Cross-Border Financial Transactions

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Author :
Publisher : Asian Development Bank
ISBN 13 : 9292697145
Total Pages : 114 pages
Book Rating : 4.2/5 (926 download)

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Book Synopsis Local Currency Collateral for Cross-Border Financial Transactions by : Asian Development Bank

Download or read book Local Currency Collateral for Cross-Border Financial Transactions written by Asian Development Bank and published by Asian Development Bank. This book was released on 2022-09-01 with total page 114 pages. Available in PDF, EPUB and Kindle. Book excerpt: Active use of local currency-denominated bonds for cross-border collateral transactions could help the development of regional bond markets by mitigating risks, reducing the credit costs of financial institutions, and expanding market liquidity. This report identifies the challenges faced by regional collateral markets and proposes seven policy recommendations for promoting the cross-border use of local currency bonds as collateral in the Association of Southeast Asian Nations plus the People’s Republic of China, Japan, and the Republic of Korea—known collectively as ASEAN+3.

Asset and Risk Management

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Author :
Publisher : John Wiley & Sons
ISBN 13 : 0470012587
Total Pages : 424 pages
Book Rating : 4.4/5 (7 download)

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Book Synopsis Asset and Risk Management by : Louis Esch

Download or read book Asset and Risk Management written by Louis Esch and published by John Wiley & Sons. This book was released on 2005-09-27 with total page 424 pages. Available in PDF, EPUB and Kindle. Book excerpt: The aim of this book is to study three essential components of modern finance – Risk Management, Asset Management and Asset and Liability Management, as well as the links that bind them together. It is divided into five parts: Part I sets out the financial and regulatory contexts that explain the rapid development of these three areas during the last few years and shows the ways in which the Risk Management function has developed recently in financial institutions. Part II is dedicated to the underlying theories of Asset Management and deals in depth with evaluation of financial assets and with theories relating to equities, bonds and options. Part III deals with a central theory of Risk Management, the general theory of Value at Risk or VaR, its estimation techniques and the setting up of the methodology. Part IV is the point at which Asset Management and Risk Management meet. It deals with Portfolio Risk Management (the application of risk management methods to private asset management), with an adaptation of Sharpe’s simple index method and the EGP method to suit VaR and application of the APT method to investment funds in terms of behavioural analysis. Part V is the point at which Risk Management and Asset and Liability Management (ALM) meet, and touches on techniques for measuring structural risks within the on and off balance sheet. The book is aimed both at financial professionals and at students whose studies contain a financial aspect. "Esch, Kieffer and Lopez have provided us with a comprehensive and well written treatise on risk. This is a must read, must keep volume for all those who need or aspire to a professional understanding of risk and its management." —Harry M Markowitz, San Diego, USA

Yeowart and Parsons on the Law of Financial Collateral

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Author :
Publisher : Edward Elgar Publishing
ISBN 13 : 1782546324
Total Pages : 904 pages
Book Rating : 4.7/5 (825 download)

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Book Synopsis Yeowart and Parsons on the Law of Financial Collateral by : Geoffrey Yeowart

Download or read book Yeowart and Parsons on the Law of Financial Collateral written by Geoffrey Yeowart and published by Edward Elgar Publishing. This book was released on 2016-02-26 with total page 904 pages. Available in PDF, EPUB and Kindle. Book excerpt: As the volume of transactions in European financial markets continues to grow, the use of financial collateral, be it in the form of cash, shares, bonds or credit claims, has become a critical tool in supporting and managing risk in financial transactions. This book is the first of its kind to offer a systematic examination of the whole law relating to financial collateral. It does so in two parts. First, it explains the law created by the Financial Collateral Arrangements (No 2) Regulations 2003, the Directive it implemented and related legislation. Second, it examines how financial collateral is used in practice in a range of different markets. It will be an essential reference point for all legal practitioners operating in financial markets. Key features: • Analytical rigour combined with insight into how financial collateral works in practice, covering both English and Scots law • Valuable discussion of control and possession tests, right of use, remedy of appropriation, close-out netting and impact of ‘bail-in’ • Explains use of financial collateral in the derivatives market, clearing houses, direct and indirect securities holding systems and use of repos, securities lending and prime brokerage • Highlights key issues on regulatory treatment and conflicts of laws • Discusses direction of future law reform • Written by leading experts in the field.

Legal Data for Banking

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Author :
Publisher : John Wiley & Sons
ISBN 13 : 1119357225
Total Pages : 349 pages
Book Rating : 4.1/5 (193 download)

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Book Synopsis Legal Data for Banking by : Akber Datoo

Download or read book Legal Data for Banking written by Akber Datoo and published by John Wiley & Sons. This book was released on 2019-04-26 with total page 349 pages. Available in PDF, EPUB and Kindle. Book excerpt: A practical, informative guide to banks’ major weakness Legal Data for Banking defines the legal data domain in the context of financial institutions, and describes how banks can leverage these assets to optimise business lines and effectively manage risk. Legal data is at the heart of post-2009 regulatory reform, and practitioners need to deepen their grasp of legal data management in order to remain compliant with new rules focusing on transparency in trade and risk reporting. This book provides essential information for IT, project management and data governance leaders, with detailed discussion of current and best practices. Many banks are experiencing recurrent pain points related to legal data management issues, so clear explanations of the required processes, systems and strategic governance provide immediately-relevant relief. The recent financial crisis following the collapse of major banks had roots in poor risk data management, and the regulators’ unawareness of accumulated systemic risk stemming from contractual obligations between firms. To avoid repeating history, today’s banks must be proactive in legal data management; this book provides the critical knowledge practitioners need to put the necessary systems and practices in place. Learn how current legal data management practices are hurting banks Understand the systems, structures and strategies required to manage risk and optimise business lines Delve into the regulations surrounding risk aggregation, netting, collateral enforceability and more Gain practical insight on legal data technology, systems and migration The legal contracts between firms contain significant obligations that underpin the financial markets; failing to recognise these terms as valuable data assets means increased risk exposure and untapped business lines. Legal Data for Banking provides critical information for the banking industry, with actionable guidance for implementation.

COMMODITY FINANCE -- 2ND EDITION

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Author :
Publisher : Harriman House Limited
ISBN 13 : 0857196669
Total Pages : 287 pages
Book Rating : 4.8/5 (571 download)

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Book Synopsis COMMODITY FINANCE -- 2ND EDITION by : Weixin Huang

Download or read book COMMODITY FINANCE -- 2ND EDITION written by Weixin Huang and published by Harriman House Limited. This book was released on 2019-03-25 with total page 287 pages. Available in PDF, EPUB and Kindle. Book excerpt: Very few books published so far have touched upon commodity finance and fewer still have provided a systematic explanation and analysis of the subject. It is however a subject that is relevant throughout almost every corner of the world. From food to gold, commodities are ubiquitous. In this book, Dr. W. Huang, a practitioner and a trainer, covers commodities, commodity markets, commodity trade and the finance of commodity trade. As such, practitioners such as bankers and traders in commodity finance, and those institutions operating in this field, or planning to be active in this field, will all benefit from this book. This revised and updated second edition is a hands-on summary of commodity finance, with a special chapter dedicated to real-life case studies of commodity finance. Topics covered include: – High-level overview of commodity trade and finance. – The three major sectors of commodity finance: soft commodities, hard commodities and energy – Commodity finance and emerging markets, as most commodity export countries are emerging markets countries. – The special mechanisms and products of commodity finance, from plain vanilla products to more complicated structures. The concept of Supply Chain Finance is also covered in detail. – Bank and country risk. – Risk management principles, with practical case studies. – The organization of a typical commodity finance bank. The key benefits of the book are: For bankers – how to do business and what risks should be watched for? For traders, brokers and institutional investors – how commodity finance is done and what bank instruments can be used. For students – how is commodity finance handled and developed by banks? Each chapter can be read independently. The content has been reviewed by both experts and newcomers, incorporating their comments on style and content, to ensure it is as useful and clear as possible.

Financial Markets Operations Management

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Author :
Publisher : John Wiley & Sons
ISBN 13 : 1118843908
Total Pages : 472 pages
Book Rating : 4.1/5 (188 download)

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Book Synopsis Financial Markets Operations Management by : Keith Dickinson

Download or read book Financial Markets Operations Management written by Keith Dickinson and published by John Wiley & Sons. This book was released on 2015-01-20 with total page 472 pages. Available in PDF, EPUB and Kindle. Book excerpt: A comprehensive text on financial market operations management Financial Market Operations Management offers anyone involved with administering, maintaining, and improving the IT systems within financial institutions a comprehensive text that covers all the essential information for managing operations. Written by Keith Dickinson—an expert on the topic—the book is comprehensive, practical, and covers the five essential areas of operations and management including participation and infrastructure, trade life cycle, asset servicing, technology, and the regulatory environment. This comprehensive guide also covers the limitations and boundaries of operational systems and focuses on their interaction with external parties including clients, counterparties, exchanges, and more. This essential resource reviews the key aspects of operations management in detail, including an examination of the entire trade life cycle, new issue distribution of bonds and equities, securities financing, as well as corporate actions, accounting, and reconciliations. The author highlights specific operational processes and challenges and includes vital formulae, spreadsheet applications, and exhibits. Offers a comprehensive resource for operational staff in financial services Covers the key aspects of operations management Highlights operational processes and challenges Includes an instructors manual, a test bank, and a solution manual This vital resource contains the information, processes, and illustrative examples needed for a clear understanding of financial market operations.

Collateral Management

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Author :
Publisher : Createspace Independent Publishing Platform
ISBN 13 : 9781987496260
Total Pages : 134 pages
Book Rating : 4.4/5 (962 download)

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Book Synopsis Collateral Management by : Gerardus Blokdyk

Download or read book Collateral Management written by Gerardus Blokdyk and published by Createspace Independent Publishing Platform. This book was released on 2018-04-03 with total page 134 pages. Available in PDF, EPUB and Kindle. Book excerpt: Who sets the Collateral management standards? Is the Collateral management organization completing tasks effectively and efficiently? Has the direction changed at all during the course of Collateral management? If so, when did it change and why? What role does communication play in the success or failure of a Collateral management project? How much are sponsors, customers, partners, stakeholders involved in Collateral management? In other words, what are the risks, if Collateral management does not deliver successfully? Defining, designing, creating, and implementing a process to solve a challenge or meet an objective is the most valuable role... In EVERY group, company, organization and department. Unless you are talking a one-time, single-use project, there should be a process. Whether that process is managed and implemented by humans, AI, or a combination of the two, it needs to be designed by someone with a complex enough perspective to ask the right questions. Someone capable of asking the right questions and step back and say, 'What are we really trying to accomplish here? And is there a different way to look at it?' This Self-Assessment empowers people to do just that - whether their title is entrepreneur, manager, consultant, (Vice-)President, CxO etc... - they are the people who rule the future. They are the person who asks the right questions to make Collateral management investments work better. This Collateral management All-Inclusive Self-Assessment enables You to be that person. All the tools you need to an in-depth Collateral management Self-Assessment. Featuring 711 new and updated case-based questions, organized into seven core areas of process design, this Self-Assessment will help you identify areas in which Collateral management improvements can be made. In using the questions you will be better able to: - diagnose Collateral management projects, initiatives, organizations, businesses and processes using accepted diagnostic standards and practices - implement evidence-based best practice strategies aligned with overall goals - integrate recent advances in Collateral management and process design strategies into practice according to best practice guidelines Using a Self-Assessment tool known as the Collateral management Scorecard, you will develop a clear picture of which Collateral management areas need attention. Your purchase includes access details to the Collateral management self-assessment dashboard download which gives you your dynamically prioritized projects-ready tool and shows your organization exactly what to do next. Your exclusive instant access details can be found in your book.

Preparing for the Next Financial Crisis

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Author :
Publisher : Routledge
ISBN 13 : 0429949553
Total Pages : 370 pages
Book Rating : 4.4/5 (299 download)

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Book Synopsis Preparing for the Next Financial Crisis by : Olivier de Bandt

Download or read book Preparing for the Next Financial Crisis written by Olivier de Bandt and published by Routledge. This book was released on 2020-12-29 with total page 370 pages. Available in PDF, EPUB and Kindle. Book excerpt: The ramifications of the Global Financial Crisis, which erupted in 2007, continue to surprise not only the general public but also finance professionals, economists, and journalists. Faced with this challenge, Preparing for the Next Financial Crisis goes back to basics. The authors ask: what do theory and empirical observations tell us about the causes and the consequences of financial crisis and instability? In what has become an increasingly complex financial world, what lessons can we learn from economic policies, which have been implemented, and research, which has developed extremely rapidly in recent years, so as not to repeat past mistakes? In this comprehensive review of the literature, which is both complete and balanced, the authors highlight the points of consensus among economists and policymakers. They assess the capacity of economic policies and institutions in limiting the cost of financial instability. In conclusion, they ask if the financial system has become safer, in the light especially of the Covid-19 Global Crisis. Ten years after the GFC crisis, this is a timely review of the reform agenda, the progress made, and the areas where further changes need to be made to address new risks and challenges.

Compendium on Enterprise Resource Planning

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Author :
Publisher : Springer Nature
ISBN 13 : 3030938565
Total Pages : 610 pages
Book Rating : 4.0/5 (39 download)

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Book Synopsis Compendium on Enterprise Resource Planning by : Siar Sarferaz

Download or read book Compendium on Enterprise Resource Planning written by Siar Sarferaz and published by Springer Nature. This book was released on 2022-04-01 with total page 610 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book explains the functional scope, the data model, the solution architecture, the underlying engineering concepts, and the programming model of SAP S/4HANA as the most well-known enterprise resource planning (ERP) system. The approach is to start with general concepts and then to proceed step-by-step to concrete implementations in SAP S/4HANA. In the first part the reader learns about the market view of ERP solutions and vendors. The second part deals with the business processes for sales, marketing, finance, supply chain, manufacturing, services, procurement, and human resources which are covered with SAP S/4HANA. In the third part the underlying concepts of SAP S/4HANA are described, for example in-memory storage, analytics and search, artificial intelligence, process and data integration, security and compliance, lifecycle management, performance and scalability, configuration and implementation. The book is concluded with a final chapter explaining how to deploy an appliance to explore SAP S/4HANA. The target audience for the book are managers and business analysts who want to understand the market situation and future ERP trends, end users and process experts who need to comprehend the business processes and the according solution capabilities provided with SAP S/4HANA, architects and developers who have to learn the technical concepts and frameworks for enhancing SAP S/4HANA functionality, and consultants and partners who require to adopt and configure SAP S/4HANA.

Risk

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Author :
Publisher :
ISBN 13 :
Total Pages : 592 pages
Book Rating : 4.E/5 ( download)

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Book Synopsis Risk by :

Download or read book Risk written by and published by . This book was released on 2005 with total page 592 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Fixed Income Relative Value Analysis, + website

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Author :
Publisher : John Wiley & Sons
ISBN 13 : 1394189087
Total Pages : 440 pages
Book Rating : 4.3/5 (941 download)

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Book Synopsis Fixed Income Relative Value Analysis, + website by : Doug Huggins

Download or read book Fixed Income Relative Value Analysis, + website written by Doug Huggins and published by John Wiley & Sons. This book was released on 2024-05-13 with total page 440 pages. Available in PDF, EPUB and Kindle. Book excerpt: An invaluable guide for fixed income practitioners, fully updated to incorporate the shift from LIBOR to SOFR Since its first edition in 2013, Fixed Income Relative Value Analysis: A Practitioner’s Guide to the Theory, Tools, and Trades has become the gold standard for guides linking financial theories with practical analysis tools. The newly revised second edition reflects both the progress in statistical tools over the last decade and the impact of the transition to SOFR on swap spreads. You’ll find a set of statistical and financial tools, a multitude of actual trades resulting from the application of these tools, as well as access to a companion website featuring spreadsheets illustrating some of the models contained in the book. This book covers: Statistical models for quantitative market analysis, in particular mean reversion models and principal component analysis, now including the multivariate Ornstein-Uhlenbeck model. An in-depth approach to understanding swap spreads in theory and practice. A comprehensive discussion of the various basis swaps and their combinations. The incorporation of credit default swaps in yield curve analysis. A classification of option trades into three types and the appropriate analysis tools. Fitted curve techniques for identifying relative value among different bonds. A multi-factor delivery option model for bond future contracts. Fixed Income Relative Value Analysis has proven to be an indispensable desk reference for buy- and sell-side fixed income professionals, including traders, quantitative analysts, portfolio managers, financial engineers, fixed income salespeople with sophisticated clientele and risk managers.

SEC Docket

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Author :
Publisher :
ISBN 13 :
Total Pages : 1180 pages
Book Rating : 4.:/5 (31 download)

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Book Synopsis SEC Docket by : United States. Securities and Exchange Commission

Download or read book SEC Docket written by United States. Securities and Exchange Commission and published by . This book was released on 1996 with total page 1180 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Safeguarding Financial Stability

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Author :
Publisher : International Monetary Fund
ISBN 13 : 9781589064409
Total Pages : 332 pages
Book Rating : 4.0/5 (644 download)

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Book Synopsis Safeguarding Financial Stability by : Mr.Garry J. Schinasi

Download or read book Safeguarding Financial Stability written by Mr.Garry J. Schinasi and published by International Monetary Fund. This book was released on 2005-12-12 with total page 332 pages. Available in PDF, EPUB and Kindle. Book excerpt: How is finance related to economic processes, and why should it be viewed as a public good requiring policy action? This book provides an answer. The book develops a practical framework for safeguarding financial stability, which encompasses both prevention and resolution of problems. It also examines on-going and future challenges to financial stability posed by globalization, a growing reliance on derivatives and their markets, and the capital market activities of insurers and reinsurers.

The People's Republic of China

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Author :
Publisher : International Monetary Fund
ISBN 13 : 1484363809
Total Pages : 39 pages
Book Rating : 4.4/5 (843 download)

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Book Synopsis The People's Republic of China by : International Monetary Fund. Monetary and Capital Markets Department

Download or read book The People's Republic of China written by International Monetary Fund. Monetary and Capital Markets Department and published by International Monetary Fund. This book was released on 2018-06-26 with total page 39 pages. Available in PDF, EPUB and Kindle. Book excerpt: This Technical Note analyzes financial stability issues related to financial market infrastructures (FMIs) in China. Since the previous Financial Sector Assessment Program, the supervision and oversight of FMIs has strengthened through the adoption of the CPSS–IOSCO (Committee on Payment and Settlement Systems/International Organization of Securities Commissions) Principles for FMIs (PFMI). The public adoption of the PFMI by the authorities in 2013 and the establishment of an interagency platform to assess FMIs are commendable. Full implementation of the principles by FMIs is the next step and is expected to enhance the resilience and stability of the FMIs.