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Book
Author Zakaria, Shahsuzan, author

Title Financial risk management in banking : evidence from Asia Pacific / Shahsuzan Zakaria and Sardar M. N. Islam.

Copies

Location Call No. Status
 Male Library  HG3252 .Z35 2019    Available
 Male Library  HG3252 .Z35 2019 c.2  Available
 Female Library  HG3252 .Z35 2019    Available
Edition 1st Edition.
Description xx, 275 p.: ill ; 24cm.
Summary "As risk-taking is an essential part of the banking industry, banks must practice efficient risk management to ensure survival in uncertain financial climates. Banking operations are specifically affected by fluctuations in interest rates which cause financial imbalance, thus banks are now required to put in place an effective management structure that incorporates risk management efficiency measures that help mitigate the wide range of risks they face. In this book, the authors have developed a new modelling approach to determine banks' financial risk management by offering detailed insight into the integrated approach of dollar-offset ratio and Data Envelopment Analysis, based on derivatives usage. As demonstrated in the modelling exercise, this integrated approach can be applied to other cases requiring risk management efficiency measurement strategies. It further analyses the efficiency measurement under stochastic DEA approaches, namely (i) Bootstrap DEA (BDEA), (ii) Sensitivity Analysis, and (iii) Chance-constrained DEA (CCDEA). Additionally, this is the first book to comprehensively review the derivative markets of both the developed and developing countries, in the Asia-Pacific region, by examining the differences of risk management efficiency of the banking institutions in these countries. Based on this measurement approach, strategies are provided for banks to improve their strategic risk management practices, as well as reduce the impacts from external risks, such as changes in interest rates and exchange rates. Furthermore, the book will help banks to keep abreast of recent developments in the field of efficiency studies in management accounting, specifically in relation to hedge accounting, used by banks in the Asia-Pacific region"-- Provided by publisher
Subject Banks and banking -- Pacific Area
Banks and banking -- Asia
Financial risk management -- Pacific Area
Financial risk management -- Asia
Added Author Islam, Sardar M. N., 1950- author
ISBN 9781138388277 (hardback)
9780429425653 (ebook)