Business & Economics Books:

The Bank Credit Analysis Handbook

A Guide for Analysts, Bankers and Investors
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Hardback
$501.99
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Description

The handbook of theory and practice in bank credit analysis and ratings, fully updated and revised The Bank Credit Analysis Handbook, Second Edition explains the role and methodologies of bank credit analysts, giving both investors and practitioners an insider's perspective on how rating agencies assign all-important credit ratings to banks. Updated for today's environment of increased oversight and calls for transparency, it includes international case studies of bank credit analysis; suggestions and insights for understanding and complying with the Basel Accords; techniques for reviewing asset quality on both quantitative and qualitative bases; studies of the restructuring of distressed banks, bank rating types and symbologies; and more. Charts, graphs, and spreadsheet illustrations help tie together the issues discussed throughout the text.

Author Biography:

JONATHAN GOLIN, a graduate of Berkeley and Harvard Law School, has more than fifteen years' experience in the financial sector. He worked at the Economist Intelligence Unit and as a credit analyst at Tokai Asia in Hong Kong before joining Thomson BankWatch Asia in 1997, a specialist rating agency. After BankWatch was absorbed by Fitch Ratings in 2000, Jonathan wrote the first edition of The Bank Credit Analysis Handbook (2002). Subsequently, he relocated to London and established his own bank credit research and training consultancy. Clients included Rabobank, Genworth Financial, Euromoney Training, the African Development Bank, and the Malaysia Deposit Insurance Corporation. More recently, Jonathan was employed by the UK's main bank regulator, the Financial Services Authority (FSA) as a risk specialist. Other books in which he had a lead role include Capital Flows Along the Mekong: The Complete Guide to Investing in Cambodia, Laos, Myanmar, and Vietnam (1995) and Covered Bonds beyond Pfandbriefe: Innovations, Investment and Structured Alternatives (2006). PHILIPPE DELHAISE, PhD, is the founder of Capital Information Services and the Carbon Management Consulting Group. He was the President of the Asia Division of Thomson BankWatch, and served as an adjunct professor of finance at City University of Hong Kong. Philippe Delhaise is a graduate of the University of Louvain (Belgium), with degrees in engineering, philosophy, and economics, and a graduate of the University of Chicago Booth School of Business. He is currently the President of CTRisks Rating, a licensed rating agency in Hong Kong. In 1998, Wiley published Delhaise's well-received book on the 1997 banking crisis in Asia: Asia in Crisis: The Implosion of the Banking and Finance Systems.
Release date Australia
June 18th, 2013
Audience
  • Professional & Vocational
Edition
2nd edition
Pages
1056
Dimensions
191x254x56
ISBN-13
9780470821572
Product ID
2464641

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