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The future of finance : a new model for banking and investment / Moorad Choudhry, Gino Landuyt ; foreword by Professor Frank J. Fabozzi.

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Format:
Book
Author/Creator:
Choudhry, Moorad, author.
Landuyt, Gino, author.
Contributor:
Fabozzi, Frank J., writer of foreword.
Series:
Wiley finance series.
Wiley Finance
Language:
English
Subjects (All):
Banks and banking.
Portfolio management.
Risk.
Investments.
Global Financial Crisis, 2008-2009.
Physical Description:
1 online resource (227 p.)
Place of Publication:
Hoboken, New Jersey : Wiley, 2010.
Language Note:
English
Summary:
New banking and investment business models to navigate the post-financial crisis environment The financial crisis of 2007-2008 has discredited business models in the banking and fund management industries. In The Future of Finance, Moorad Choudhry and Gino Landuyt argue that banks must realign their business models, implying a lower return-on-equity; diversifying their funding sources; and increasing liquidity reserves. On the investment side, the authors discuss how diversification did not reduce risk, but rather amplified it, and failed to stabilize returns. The authors concl
Contents:
The Future of Finance: A New Model for Banking and Investment; Contents; Foreword; Preface; Introduction; MARKET INSTABILITY; DERIVATIVES AND MATHEMATICAL MODELING; SENIOR MANAGEMENT AND STAYING IN THE GAME; MACROPRUDENTIAL FINANCIAL REGULATION AND CYCLE-PROOF REGULATION; THE WAY FORWARD; CONCLUSION; Part One: A Review of the Financial Crash; Chapter 1: Globalization, Emerging Markets, and the Savings Glut; Chapter 2: The Rise of Derivatives and Systemic Risk; Chapter 3: The Too-Big-to-Fail Bank, Moral Hazard, and Macroprudential Regulation
Chapter 4: Corporate Governance and Remuneration in the Banking IndustryChapter 5: Bank Capital Safeguards: Additional Capital Buffers and Reverse Convertibles; Chapter 6: Economic Theories under Attack; Part Two: New Models for Banking and Investment; Chapter 7: Long-Term Sustainable Investment Guidelines; Chapter 8: Bank Asset-Liability and Liquidity Risk Management; Chapter 9: A Sustainable Bank Business Model: Capital, Liquidity, and Leverage; Notes; References; About the Authors; Index
Notes:
Description based upon print version of record.
Includes bibliographical references and index.
Description based on print version record.
ISBN:
9786612822582
9780470906460
0470906464
9781282822580
1282822586
9781118266861
1118266862
9780470906446
0470906448
OCLC:
676698640

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