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Vol 21 No 11 Nov/Dec 2016

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Bank Credit Analysis Handbook: A Guide for Analysts, Bankers and Investors 2nd ed


ISBN13: 9780470821572
Published: June 2013
Publisher: John Wiley & Sons Ltd
Country of Publication: UK
Format: Hardback
Price: £170.00



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This is a hands-on guide to the theory and practice of bank credit analysis and ratings. In this revised edition, Jonathan Golin and Philippe Delhaise expand on the role of bank credit analysts and the methodology of their practice. Offering investors and practitioners an insider's perspective on how rating agencies assign all-important credit ratings to banks, the book is updated to reflect today's environment of increased oversight and demands for greater 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, explores the restructuring of distressed banks, and much more. It features charts, graphs, and spreadsheet illustrations to further explain topics discussed in the text. It includes international case studies from North America, Asia, and Europe that offer readers a global perspective. It offers coverage of the Basel Accords on Capital Adequacy and Liquidity and shares the authors' view that a bank could be compliant under those and other regulations without being creditworthy. A uniquely practical guide to bank credit analysis as it is currently practiced around the world, The Bank Credit Analysis Handbook, Second Edition is a must-have resource for equity analysts, credit analysts, and bankers, as well as wealth managers and investors.

Subjects:
Banking and Finance
Contents:
Preface to the New Edition vii CHAPTER 1 The Credit Decision 1 CHAPTER 2 The Credit Analyst 37 CHAPTER 3 The Business of Banking 87 CHAPTER 4 Deconstructing the Bank Income Statement 155 CHAPTER 5 Deconstructing a Bank's Balance Sheet 215 CHAPTER 6 Earnings and Profitability 261 CHAPTER 7 Asset Quality 337 CHAPTER 8 Management and Corporate Governance 415 CHAPTER 9 Capital 449 CHAPTER 10 Liquidity 493 CHAPTER 11 Country and Sovereign Risk 551 CHAPTER 12 Risk Management, Basel Accords, and Ratings 641 CHAPTER 13 The Banking Regulatory Regime 717 CHAPTER 14 Crises: Banking, Financial, Twin, Economic, Debt, Sovereign, and Policy Crises 781 CHAPTER 15 The Resolution of Banking Crises 847 About the Authors 907 Index 909