In an era of globalisation, syndicated lending and consolidation within the banking industry, virtually all industries will have international dealings, whether directly or indirectly, and will therefore be exposed to consequential risks. An understanding of international risk, from that of bank of country failure to the idiosyncrasies of different regulatory frameworks, is essential for the modern banker. This book gives the reader a thorough understanding of how to calculate, analyse and manage such risks.
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ANDREW FIGHT provides financial training and consulting services in the areas of Financial Analysis, Commercial, Syndicated, and Project Finance Lending, Asset Liability Management, Credit Risk Management, and Problem Loan Management.
He has over 15 years of experience in international banking and financial analysis gained in Paris and London with Chase Manhattan Bank, IBCA Rating Agency, Euromoney Training, and the French Banker's Training Institute.
He is a financial trainer and consultant to several banks, central banks, and IT companies, and a successful author, having written over 15 books on financial analysis, banking risk analysis, credit risk management, credit rating agencies, and information technology in financial services.
He divides his time between London, where he works, and his home in the South of France.
In an era of globalisation, syndicated lending and consolidation within the banking world, virtually all industries will have international dealings, whether directly or indirectly, and will there be exposed to consequential risks. An understanding of international risk, from that of bank or country failure to the idiosyncrasies of different religious, cultural and regulatory frameworks, is essential to the modern banker. This book gives the reader a thorough understanding of how to calculate, analyse and manage such risks.
Understanding International Bank Risk addresses the key areas of international risk within the banking environment. It shows the reader how to assess and model both bank and country risk in clear practical terms in order to make informed decisions and be aware of the early warning signs. It spans the full range of factors from the micro to the macro environment and pays particular attention to major growth areas such as syndicated lending.
"The logical and comprehensive analytical framework makes this a useful guide for credit analysis, particularly in relation to the fundamentals of a bank. Moreover, the frequent tie-ins between theory and empirical information lead to an interesting and easily digestible reading experience."
Suresh Menon, Executive Director, Rating Agency Malaysia Berhad
"Risk is the word on the lips of every financial practitioner. Andrew Fight's new book is both a timely introduction to the subject and an excellent survey of risk and risk management in their many manifestations."
Professor Charles W Munn, Chief Executive, The Chartered Institute of Bankers in Scotland, President, The European Bank Training Network, Chairman, QAA Scotland
"A challenging and timely review of how to appraise banks, that recognises the wider social context as well as technical analysis. This book will be an important reference point over the next few years as the turbulence of Basel II change increases."
Michael Mainelli, Executive Chairman, Z/Yen Limited
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Hardcover. Condizione: new. Hardcover. In an era of globalisation, syndicated lending and consolidation within the banking industry, virtually all industries will have international dealings, whether directly or indirectly, and will therefore be exposed to consequential risks. An understanding of international risk, from that of bank of country failure to the idiosyncrasies of different regulatory frameworks, is essential for the modern banker. This book gives the reader a thorough understanding of how to calculate, analyse and manage such risks. In an era of globalization, syndicated lending and consolidation within the banking industry, virtually all industries will have international dealings, and will therefore be exposed to consequential risks. This work provides an understanding of how to calculate, analyze, and manage such risks. This item is printed on demand. Shipping may be from multiple locations in the US or from the UK, depending on stock availability. Codice articolo 9780470847688
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Condizione: New. In an era of globalization, syndicated lending and consolidation within the banking industry, virtually all industries will have international dealings, and will therefore be exposed to consequential risks. This work provides an understanding of how to calculate, analyse, and manage such risks. Series: Wiley Finance Series. Num Pages: 248 pages, Illustrations. BIC Classification: KFFK; KJMD. Category: (P) Professional & Vocational. Dimension: 261 x 188 x 22. Weight in Grams: 648. . 2003. 1st Edition. Hardcover. . . . . Codice articolo V9780470847688
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