Bank and sovereign risk analysis
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Bank and sovereign risk analysis

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214 pages 2014

About This Book

This book is a self-tuition course on Bank and Sovereign Risk with questions and exercises to check understanding- It uses many examples and case studies- It provides specific elements of individual bank analysis (CAMELS approach: Capital, Asset quality and impairments, Management, Earning, Liquidity, Sensitivity to market risk)- It explains the differences in how the various rating agencies assign bank risk and what each agency offers understanding of- It provides insights into individual country's risk- It focuses on the history and the explanation of the Basel rules, and evolution from Basel I to III with a detailed explanation of what each entails and how they are implemented- It details warning signals to look out for in predicting a potential bank failure, with illustrative examples- It explains sovereign and country risk and their differences- It considers six broad dimensions of political stability, with further explanation through the case study country examples- It compares the variables used by the different rating agencies in evaluating sovereign credit risk with detailed insights into the approaches and factors used.

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