Buy-side liquidity risk management best practices
Year of publication: |
2018
|
---|---|
Authors: | Corbett, Timothy P. ; Smodis, Sebastjan |
Published in: |
Journal of risk management in financial institutions. - London : Henry Stewart Publ., ISSN 1752-8887, ZDB-ID 2416788-5. - Vol. 11.2017/2018, 3, p. 207-217
|
Subject: | asset management | liquidity risk management | stress testing | contingency planning | product suitability and disclosures | Finanzdienstleistung | Financial services | Risikomanagement | Risk management | Bankenliquidität | Bank liquidity | Bankenaufsicht | Banking supervision | Basler Akkord | Basel Accord | Portfolio-Management | Portfolio selection |
-
Malandrakis, Ioannis K., (2014)
-
Corporate liquidity in coronacrisis : experience of Serbian economy
Devjak, Srecko, (2023)
-
Liquidity risk management in Islamic banks : a survey
Mohammad, Sabri, (2013)
- More ...
-
Exchange traded fund risk management and resiliency
Smodis, Sebastjan, (2020)
- More ...