What Is the Bank Administration Institute?

This book is a reference textbook for the risk management subjects of the qualification examination for Chinese banking professionals. The editor-in-chief is a professor at Shanghai University of Finance and Economics. This book includes six parts, including the basics of commercial bank risk management, credit risk management, market risk management, operational risk management, management of other major risks, banking supervision and market constraints. Made. This book highlights the combination of theory and practice, the combination of knowledge and skills, and the combination of reality and foresight. This book will be a rare, comprehensive and systematic reference textbook and reference book for practitioners who need to take the qualification examination.

Commercial Bank Management (Second Edition)

Qiao Yu, graduated from Michigan State University in 1989 with a PhD in economics. He has taught at the National University of Singapore and School of Management of Fudan University. He is currently a professor and doctoral supervisor of Tsinghua University School of Public Management and the chief editor of China Finance.
First basics
Chapter 1 The Modern Financial System
Chapter 2 Commercial Banking System
Chapter 3 Commercial Bank Theory
Chapter 4 Analysis of Interest, Interest Rate and Investment Income
Chapter 5 Bond Prices, Interest Rate Decisions, and Interest Rate Structure
Chapter II Operation Chapter Banking Measurement and Long-term Development Plan
Chapter 6 Financial Analysis of Commercial Banks
Chapter 7 Banking Analysis and Long-Term Planning
Chapter III Bank Asset and Liability Management
Chapter 8 Bank Cash Management
Chapter 9 Bank Securities Investment Management
Chapter 10 Bank Loan Management
Chapter 11 Bank Liability Management
Chapter 4 Bank Capital Management
Chapter 12 Bank Capital and the Basel Agreement
Chapter 13 Bank Capital Management
Chapter V Bank Risk Management
Chapter 14 Liquidity Risk Management
Chapter 15 Interest Rate Risk Management
Chapter 16 Credit Risk Management
Chapter 17 Modern Theory of Risk Management
Chapter 6 Other Business Management of Banks
Chapter 18 Off-Balance Sheet Business Management
Chapter 19 International Banking and Foreign Exchange Transaction Management
Chapter 20 Bank Mergers and Acquisitions
references
Appendix 1 Instructions for use of TIBAIIPLUS calculator
Appendix 2 Present value and final value table
index

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