The Bank Analysts Handbook :Money, Risk and Conjuring Tricks

Publication subTitle :Money, Risk and Conjuring Tricks

Author: Stephen M. Frost  

Publisher: John Wiley & Sons Inc‎

Publication year: 2005

E-ISBN: 9780470091197

P-ISBN(Hardback):  9780470091180

Subject: F830 Financial, banking theory

Language: ENG

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Description

It is not uncommon to meet professionals in financial services who have only a vague idea of what their colleagues actually do. The root cause is specialization and the subsequent development of jargon that makes communication between common specialists faster and more precise but is virtually impenetrable to everybody else.

The Bank Analyst’s Handbook provides a modern introduction to financial markets and intermediation. Individual subject areas are covered in a thorough but clear and succinct manner. The breadth of the author’s experience as a sell-side bank analyst is exploited to good effect to pull together these threads and create a coherent framework for the analysis of financial markets, whether these are in advanced economies or developing markets.

The Handbook is well-written and highly accessible. It builds on orthodox financial theory (with all of its flaws and controversies) but also highlights many of the real problems involved with translating such theory into practice. It can be appreciated at many different levels and this explains its wide target readership. The Bank Analyst’s Handbook:

  • Bridges the gap between the more superficial introductory books and specialist works
  • Covers all the important functions and subjects related to the financial services industry
  • Provides a comprehensive overview for financial services professionals, business school students, consultants, accountants, auditors and legal practitioners, analysts and fund-managers and corporate managers.

"An excellent guide for any professionals who are coming into the banking industry. Extremely well-written, covering clearly and lucidly a range of topics which many bankers themselves don't understand. I will make this book mandatory reading - no, make that studying - for anybody I hire to work as a financial sector consultant."
—Chris Matten, Executive Director, PricewaterhouseCoopers

"A great insight into the often murky and impenetrable world of banking... compulsory reading for analysts and investors alike."
—Hugh Young, Managing Director, Aberdeen Asset Management Asia Ltd

Chapter

Contents

pp.:  1 – 9

Foreword

pp.:  9 – 11

Acknowledgements

pp.:  11 – 15

Prologue

pp.:  15 – 17

Part I Financial Systems

pp.:  17 – 23

Part II The Spread Business

pp.:  23 – 91

Part III Risk Management

pp.:  91 – 151

Part IV Capital Markets

pp.:  151 – 275

Part V Bank Valuations and Acquisitions

pp.:  275 – 341

Part VI Problem Loans and Banking Crises

pp.:  341 – 389

Part VII Supervision and Financial Statements

pp.:  389 – 439

Primers

pp.:  439 – 487

Index

pp.:  487 – 561

LastPages

pp.:  561 – 574

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