Swap and Other Structured Products: Critical Review of Recent Development as Tool in Financial Risk Management Applications

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Publisher : GRIN Verlag
ISBN 13 : 3638665380
Total Pages : 56 pages
Book Rating : 4.6/5 (386 download)

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Book Synopsis Swap and Other Structured Products: Critical Review of Recent Development as Tool in Financial Risk Management Applications by : Frédérik Arns

Download or read book Swap and Other Structured Products: Critical Review of Recent Development as Tool in Financial Risk Management Applications written by Frédérik Arns and published by GRIN Verlag. This book was released on 2007-08 with total page 56 pages. Available in PDF, EPUB and Kindle. Book excerpt: Seminar paper from the year 2006 in the subject Business economics - Banking, Stock Exchanges, Insurance, Accounting, grade: A+, University of Westminster, course: Financial Derivatives, 47 entries in the bibliography, language: English, abstract: The increased volatility in the financial products world has raised concern about new possibilities of Risk Management leading into increased use of structured products. Credit derivatives are financial instruments to manage risk. They isolate such risk from the underlying financial asset. This essay, firstly, is going to examine the impact on swap products as a tool in Risk Management followed by an examination of key areas in structured products development that have experienced the strongest growth in the last decade. For both types, the current theory and pricing will be outlined followed by a demonstration of some characteristic applications in Financial Risk Management.

Risk Management

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Publisher :
ISBN 13 :
Total Pages : 0 pages
Book Rating : 4.:/5 (139 download)

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Book Synopsis Risk Management by : Satyajit Das

Download or read book Risk Management written by Satyajit Das and published by . This book was released on 2006 with total page 0 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Risk Management

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Publisher : John Wiley & Sons
ISBN 13 :
Total Pages : 1360 pages
Book Rating : 4.E/5 ( download)

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Book Synopsis Risk Management by : Satyajit Das

Download or read book Risk Management written by Satyajit Das and published by John Wiley & Sons. This book was released on 2006 with total page 1360 pages. Available in PDF, EPUB and Kindle. Book excerpt: The Das Swaps & Financial Derivatives Library - Third Edition Revised is the successor to Swaps & Financial Derivatives, which was first published in 1989 (as Swap Financing).

Agriculture, Rural Development, Food and Drug Administration, and Related Agencies Appropriations for 2017: Statements of interested individuals and organizations

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Publisher :
ISBN 13 :
Total Pages : 516 pages
Book Rating : 4.3/5 ( download)

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Book Synopsis Agriculture, Rural Development, Food and Drug Administration, and Related Agencies Appropriations for 2017: Statements of interested individuals and organizations by : United States. Congress. House. Committee on Appropriations. Subcommittee on Agriculture, Rural Development, Food and Drug Administration, and Related Agencies

Download or read book Agriculture, Rural Development, Food and Drug Administration, and Related Agencies Appropriations for 2017: Statements of interested individuals and organizations written by United States. Congress. House. Committee on Appropriations. Subcommittee on Agriculture, Rural Development, Food and Drug Administration, and Related Agencies and published by . This book was released on 2016 with total page 516 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Swap & Derivative Financing

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Publisher : McGraw-Hill Companies
ISBN 13 :
Total Pages : 1552 pages
Book Rating : 4.F/5 ( download)

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Book Synopsis Swap & Derivative Financing by : Satyajit Das

Download or read book Swap & Derivative Financing written by Satyajit Das and published by McGraw-Hill Companies. This book was released on 1994 with total page 1552 pages. Available in PDF, EPUB and Kindle. Book excerpt: Addresses recent developments in the market and analyzes new swap structures. Explains the banking innovations, techniques and players that spawned this financial revolution. Specific topics include: The structure and operation of all major swap markets in North America, Europe and Asia; The economics and pricing of a wide variety of swap structures; Techniques for hedging swaps and managing a swap inventory; Using swaps to access low-cost funding and to manage asset/liability positions; Accounting, taxation, legal and documentary issues.

Financial Risk Management

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Publisher : John Wiley & Sons
ISBN 13 : 1119157234
Total Pages : 576 pages
Book Rating : 4.1/5 (191 download)

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Book Synopsis Financial Risk Management by : Jimmy Skoglund

Download or read book Financial Risk Management written by Jimmy Skoglund and published by John Wiley & Sons. This book was released on 2015-09-04 with total page 576 pages. Available in PDF, EPUB and Kindle. Book excerpt: A global banking risk management guide geared toward the practitioner Financial Risk Management presents an in-depth look at banking risk on a global scale, including comprehensive examination of the U.S. Comprehensive Capital Analysis and Review, and the European Banking Authority stress tests. Written by the leaders of global banking risk products and management at SAS, this book provides the most up-to-date information and expert insight into real risk management. The discussion begins with an overview of methods for computing and managing a variety of risk, then moves into a review of the economic foundation of modern risk management and the growing importance of model risk management. Market risk, portfolio credit risk, counterparty credit risk, liquidity risk, profitability analysis, stress testing, and others are dissected and examined, arming you with the strategies you need to construct a robust risk management system. The book takes readers through a journey from basic market risk analysis to major recent advances in all financial risk disciplines seen in the banking industry. The quantitative methodologies are developed with ample business case discussions and examples illustrating how they are used in practice. Chapters devoted to firmwide risk and stress testing cross reference the different methodologies developed for the specific risk areas and explain how they work together at firmwide level. Since risk regulations have driven a lot of the recent practices, the book also relates to the current global regulations in the financial risk areas. Risk management is one of the fastest growing segments of the banking industry, fueled by banks' fundamental intermediary role in the global economy and the industry's profit-driven increase in risk-seeking behavior. This book is the product of the authors' experience in developing and implementing risk analytics in banks around the globe, giving you a comprehensive, quantitative-oriented risk management guide specifically for the practitioner. Compute and manage market, credit, asset, and liability risk Perform macroeconomic stress testing and act on the results Get up to date on regulatory practices and model risk management Examine the structure and construction of financial risk systems Delve into funds transfer pricing, profitability analysis, and more Quantitative capability is increasing with lightning speed, both methodologically and technologically. Risk professionals must keep pace with the changes, and exploit every tool at their disposal. Financial Risk Management is the practitioner's guide to anticipating, mitigating, and preventing risk in the modern banking industry.

Behind the Swap

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Publisher : Simon and Schuster
ISBN 13 : 1637630689
Total Pages : 243 pages
Book Rating : 4.6/5 (376 download)

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Book Synopsis Behind the Swap by : Andrew DeJoy

Download or read book Behind the Swap written by Andrew DeJoy and published by Simon and Schuster. This book was released on 2022-05-10 with total page 243 pages. Available in PDF, EPUB and Kindle. Book excerpt: Andrew DeJoy’s Behind the Swap examines the risks involved in post-trade processing in swaps and derivative markets, and provides solutions to better control those risks. While Andrew doesn’t claim to have all the answers, he does believe there is a way to create a safer, stronger, and better financial system for all stakeholders. In August of 2020, Citibank made one of the worst mistakes in banking history: it accidently sent out almost $900 million of its own funds. Many of the recipients didn’t give back the money. Citibank sued. And a federal court ruled that the recipients could keep the funds. Citibank’s error is not surprising. The underlying contributors that led to the mistaken payment permeate the global financial services industry. Manual data entry, decades old technological infrastructure, inadequate training, and systems that can’t interact with one another are just a few of the problems that face post-trade processing—the machinery behind financial markets. Unfortunately, years of neglect by regulators and financial institutions themselves has left this infrastructure needlessly complex, astoundingly inefficient, frequently inaccurate, and woefully inadequate for modern financial markets. Behind the Swap helps explain what’s driving the recent series of banking blunders like Barclay’s $678 million clerical error, and Citibank’s fat-finger Flash Crash that caused an 8% decline in the Swedish stock market. The book also touches on concepts that readily connect to Credit Suisse’s $5.5 billion loss on its trades with Archegos. The problems are easy to see but difficult to admit. For financial institutions, the current system costs billions of dollars each year in labor, systems maintenance, and lost funds. For regulators, the current system precludes the ability to track systemic risk. It also artificially inflates the stability of the global financial system. For lawyers and prosecutors, the current system allows ample opportunity for unlawful misconduct such as rogue trading and fraud.

Financial Derivative Investments: An Introduction To Structured Products

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Publisher : World Scientific Publishing Company
ISBN 13 : 1911299565
Total Pages : 375 pages
Book Rating : 4.9/5 (112 download)

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Book Synopsis Financial Derivative Investments: An Introduction To Structured Products by : Richard Bateson

Download or read book Financial Derivative Investments: An Introduction To Structured Products written by Richard Bateson and published by World Scientific Publishing Company. This book was released on 2011-06-07 with total page 375 pages. Available in PDF, EPUB and Kindle. Book excerpt: Structured products are sold to a wide range of retail, high net worth and institutional investors, with over £15bn of structured investments sold in the UK in 2009. Based on a non-specialist graduate lecture course given at University College London (UCL), this book provides an invaluable introduction to the fast growing world of derivative investments and the technology used in their design, pricing and structuring. The book gives a comprehensive overview of structuring and trading products based on the author's extensive international experience in structuring investment products across a range of underlying asset classes, including equities, interest rates, credit and hybrids. The product coverage ranges from equity investments such as reverse convertibles and basket correlation products, to credit products such as first-to-default notes and the notorious “CDO2”.Written in a simple and accessible manner, this book will be of interest to students, bankers, investors and other finance professionals./a

The Analysis of Structured Securities

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Publisher : Oxford University Press
ISBN 13 : 9780198034834
Total Pages : 516 pages
Book Rating : 4.0/5 (348 download)

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Book Synopsis The Analysis of Structured Securities by : Sylvain Raynes

Download or read book The Analysis of Structured Securities written by Sylvain Raynes and published by Oxford University Press. This book was released on 2003-09-25 with total page 516 pages. Available in PDF, EPUB and Kindle. Book excerpt: The Analysis of Structured Securities presents the first intellectually defensible framework for systematic assessment of the credit quality of structured securities. It begins with a detailed description and critique of methods used to rate asset-backed securities, collateralized debt obligations and asset-backed commercial paper. The book then proposes a single replacement paradigm capable of granular, dynamic results. It offers extensive guidance on using numerical methods in cash flow modeling, as well as a groundbreaking section on trigger optimization. Casework on applying the method to automobile ABS, CDOs-of-ABS and aircraft-lease securitizations is also presented. This book is essential reading for practitioners who seek higher precision, efficiency and control in managing their structured exposures.

The Risk of Investment Products

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Publisher : World Scientific
ISBN 13 : 9814354996
Total Pages : 267 pages
Book Rating : 4.8/5 (143 download)

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Book Synopsis The Risk of Investment Products by : Michael Chak Sham Wong

Download or read book The Risk of Investment Products written by Michael Chak Sham Wong and published by World Scientific. This book was released on 2011 with total page 267 pages. Available in PDF, EPUB and Kindle. Book excerpt: 1. Bank risk management in emerging markets after the enhanced Basel rules -- 2. Product VaR modeling -- 3. Is it all about disclosure? Regulating structured financial products after the Lehman Brothers minibonds saga -- 4. Regulation of over-the-counter derivatives in Australia -- 5. Credit derivatives : understanding their characteristics and risk potential -- 6. A new framework for asset-backed securities (ABSs) -- 7. Risk management of collateralized debt obligations -- 8. Financial leverage risk : new definition and empirical illustration -- 9. Enabling technology for more pervasive and responsive market risk management systems -- 10. A new method of stress testing investment products

Moody's Bank and Finance Manual

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Publisher :
ISBN 13 :
Total Pages : 2070 pages
Book Rating : 4.4/5 (91 download)

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Book Synopsis Moody's Bank and Finance Manual by :

Download or read book Moody's Bank and Finance Manual written by and published by . This book was released on 1997 with total page 2070 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Financial Services and General Government Appropriations for Fiscal Year 2015

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Publisher :
ISBN 13 :
Total Pages : 466 pages
Book Rating : 4.F/5 ( download)

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Book Synopsis Financial Services and General Government Appropriations for Fiscal Year 2015 by : United States. Congress. Senate. Committee on Appropriations. Subcommittee on Financial Services and General Government

Download or read book Financial Services and General Government Appropriations for Fiscal Year 2015 written by United States. Congress. Senate. Committee on Appropriations. Subcommittee on Financial Services and General Government and published by . This book was released on 2015 with total page 466 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Risk Management and Regulation

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Publisher : International Monetary Fund
ISBN 13 : 1484371968
Total Pages : 53 pages
Book Rating : 4.4/5 (843 download)

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Book Synopsis Risk Management and Regulation by : Tobias Adrian

Download or read book Risk Management and Regulation written by Tobias Adrian and published by International Monetary Fund. This book was released on 2018-08-01 with total page 53 pages. Available in PDF, EPUB and Kindle. Book excerpt: The evolution of risk management has resulted from the interplay of financial crises, risk management practices, and regulatory actions. In the 1970s, research lay the intellectual foundations for the risk management practices that were systematically implemented in the 1980s as bond trading revolutionized Wall Street. Quants developed dynamic hedging, Value-at-Risk, and credit risk models based on the insights of financial economics. In parallel, the Basel I framework created a level playing field among banks across countries. Following the 1987 stock market crash, the near failure of Salomon Brothers, and the failure of Drexel Burnham Lambert, in 1996 the Basel Committee on Banking Supervision published the Market Risk Amendment to the Basel I Capital Accord; the amendment went into effect in 1998. It led to a migration of bank risk management practices toward market risk regulations. The framework was further developed in the Basel II Accord, which, however, from the very beginning, was labeled as being procyclical due to the reliance of capital requirements on contemporaneous volatility estimates. Indeed, the failure to measure and manage risk adequately can be viewed as a key contributor to the 2008 global financial crisis. Subsequent innovations in risk management practices have been dominated by regulatory innovations, including capital and liquidity stress testing, macroprudential surcharges, resolution regimes, and countercyclical capital requirements.

United States

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Publisher : International Monetary Fund
ISBN 13 : 1455206792
Total Pages : 32 pages
Book Rating : 4.4/5 (552 download)

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Book Synopsis United States by : International Monetary Fund

Download or read book United States written by International Monetary Fund and published by International Monetary Fund. This book was released on 2010-07-30 with total page 32 pages. Available in PDF, EPUB and Kindle. Book excerpt: OTC derivatives markets were an increasing source of vulnerability heading into the crisis. OTC derivatives markets contributed to the financial crisis. Credit derivatives facilitated the development and growth of the structured securities markets; and the purchasing, packaging, and distribution of poorly underwritten loans and mortgages. The proposed reforms will make major improvements to market trading liquidity and the price discovery process. The reversal of the deregulation of OTC derivatives marks a major improvement in regulatory approach, and it closes an important gap in the regulatory framework.

The New Data Imperative

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Publisher : Easton Studio Press, LLC
ISBN 13 : 1935212044
Total Pages : 140 pages
Book Rating : 4.9/5 (352 download)

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Book Synopsis The New Data Imperative by : Raj Nathan

Download or read book The New Data Imperative written by Raj Nathan and published by Easton Studio Press, LLC. This book was released on 2009-06-30 with total page 140 pages. Available in PDF, EPUB and Kindle. Book excerpt: Effective capital and financial risk management now requires that information flows no longer be handled independently in business unit silos; they must be unified for use in front, middle and back offices and to aid compliance with internal controls and regulatory demands. Drawing on their individual and corporate experience at the leading edge of IT developments, three of Sybase's senior IT executives offer a lucid analysis of IT needs in the rapidly changing capital markets. They show how innovative IT capabilities and architectures can strengthen risk management and establish a foundation for new and sustained capital markets growth.

Asiamoney

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Publisher :
ISBN 13 :
Total Pages : 302 pages
Book Rating : 4.:/5 (318 download)

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Book Synopsis Asiamoney by :

Download or read book Asiamoney written by and published by . This book was released on with total page 302 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Managing Climate Risk in the U.S. Financial System

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Publisher : U.S. Commodity Futures Trading Commission
ISBN 13 : 057874841X
Total Pages : 196 pages
Book Rating : 4.5/5 (787 download)

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Book Synopsis Managing Climate Risk in the U.S. Financial System by : Leonardo Martinez-Diaz

Download or read book Managing Climate Risk in the U.S. Financial System written by Leonardo Martinez-Diaz and published by U.S. Commodity Futures Trading Commission . This book was released on 2020-09-09 with total page 196 pages. Available in PDF, EPUB and Kindle. Book excerpt: This publication serves as a roadmap for exploring and managing climate risk in the U.S. financial system. It is the first major climate publication by a U.S. financial regulator. The central message is that U.S. financial regulators must recognize that climate change poses serious emerging risks to the U.S. financial system, and they should move urgently and decisively to measure, understand, and address these risks. Achieving this goal calls for strengthening regulators’ capabilities, expertise, and data and tools to better monitor, analyze, and quantify climate risks. It calls for working closely with the private sector to ensure that financial institutions and market participants do the same. And it calls for policy and regulatory choices that are flexible, open-ended, and adaptable to new information about climate change and its risks, based on close and iterative dialogue with the private sector. At the same time, the financial community should not simply be reactive—it should provide solutions. Regulators should recognize that the financial system can itself be a catalyst for investments that accelerate economic resilience and the transition to a net-zero emissions economy. Financial innovations, in the form of new financial products, services, and technologies, can help the U.S. economy better manage climate risk and help channel more capital into technologies essential for the transition. https://doi.org/10.5281/zenodo.5247742