Analyzing banking risk: a framework for assessing corporate governance and risk management
Gespeichert in:
Hauptverfasser: | , |
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Format: | Buch |
Sprache: | English |
Veröffentlicht: |
Washington, DC
World Bank
2009
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Ausgabe: | 3. ed. |
Schlagworte: | |
Online-Zugang: | Inhaltsverzeichnis Inhaltsverzeichnis |
Beschreibung: | XIV, 422 S. graph. Darst. |
ISBN: | 9780821377284 9780821378984 |
Internformat
MARC
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040 | |a DE-604 |b ger | ||
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100 | 1 | |a Greuning, Hennie van |e Verfasser |4 aut | |
245 | 1 | 0 | |a Analyzing banking risk |b a framework for assessing corporate governance and risk management |c Hennie van Greuning ; Sonja Brajovic Bratanovic |
250 | |a 3. ed. | ||
264 | 1 | |a Washington, DC |b World Bank |c 2009 | |
300 | |a XIV, 422 S. |b graph. Darst. | ||
336 | |b txt |2 rdacontent | ||
337 | |b n |2 rdamedia | ||
338 | |b nc |2 rdacarrier | ||
650 | 7 | |a Bankrisiko |2 stw | |
650 | 7 | |a Bilanzstrukturmanagement |2 stw | |
650 | 7 | |a Corporate Governance |2 stw | |
650 | 7 | |a Risikomanagement |2 stw | |
650 | 4 | |a Bank management | |
650 | 4 | |a Corporate governance | |
650 | 4 | |a Risk management | |
650 | 0 | 7 | |a Risikomanagement |0 (DE-588)4121590-4 |2 gnd |9 rswk-swf |
650 | 0 | 7 | |a Bilanzstrukturmanagement |0 (DE-588)4413520-8 |2 gnd |9 rswk-swf |
650 | 0 | 7 | |a Bank |0 (DE-588)4004436-1 |2 gnd |9 rswk-swf |
650 | 0 | 7 | |a Corporate Governance |0 (DE-588)4419850-4 |2 gnd |9 rswk-swf |
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Datensatz im Suchindex
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adam_text | ANALYZING BANKING RISK A FRAMEWORK FOR ASSESSING CORPORATE GOVERNANCE
AND RISK MANAGEMENT THE WORLD BANK WASHINGTON, D.C. 3RD EDITION HENNIE
VAN GREUNING SONJA BRAJOVIC BRATANOVIC CONTENTS FOREWORD TO THE THIRD
EDITION XIII ACKNOWLEDGMENTS XV OVERVIEW OF BANKING RISKS 1 1.1
INTRODUCTION: THE CHANGING BANK ENVIRONMENT 1 1.2 BANK EXPOSURE TO RISK
3 1.3 CORPORATE GOVERNANCE 4 1.4 RISK-BASED ANALYSIS OF BANKS 7 1.5
ANALYTICAL TOOLS PROVIDED 10 A FRAMEWORK FOR RISK ANALYSIS 13 2.1
FINANCIAL MANAGEMENT 13 2.2 WHY BANKS ARE ANALYZED 16 2.3 UNDERSTANDING
THE ENVIRONMENT IN WHICH BANKS OPERATE 17 2.4 THE IMPORTANCE OF QUALITY
DATA ^ 24 2.5 RISK-BASED ANALYSIS OF BANKS 27 2.6 ANALYTICAL TOOLS 29
2.7 ANALYTICAL TECHNIQUES » 34 CORPORATE GOVERNANCE 41 3.1 CORPORATE
GOVERNANCE PRINCIPLES 41 3.2 MAJOR DEVELOPMENTS IN CORPORATE GOVERNANCE
PRINCIPLES 44 3.3 REGULATORY AUTHORITIES: ESTABLISHING A RISK-BASED
FRAMEWORK 46 3.4 SUPERVISORY AUTHORITIES: MONITORING RISK MANAGEMENT 48
3.5 THE SHAREHOLDERS: APPOINTING THE RIGHT POLICY MAKERS 51 3.6 THE
BOARD OF DIRECTORS: ULTIMATE RESPONSIBILITY FOR A BANK S AFFAIRS 53 3.7
MANAGEMENT: RESPONSIBILITY FOR BANK OPERATIONS AND THE IMPLEMENTATION OF
RISK MANAGEMENT POLICIES 59 3.8 THE AUDIT COMMITTEE AND INTERNAL
AUDITORS: AN EXTENSION OF THE BOARD S RISK MANAGEMENT FUNCTION 64 VI
ANALYZING BANKING RISK 3.9 EXTERNAL AUDITORS: A REASSESSMENT OF THE
TRADITIONAL APPROACH OF AUDITING BANKS 66 3.10 THE ROLE OF THE GENERAL
PUBLIC 67 ANNEX 3A: NATIONAL INITIATIVES TO IMPROVE CORPORATE GOVERNANCE
71 4 BALANCE SHEET STRUCTURE 81 4.1 INTRODUCTION: COMPOSITION OF THE
BALANCE SHEET 81 4.2 BANK ASSETS 84 4.3 BANK LIABILITIES , 88 4.4 EQUITY
AND OTHER ITEMS ^ 92 4.5 GROWTH AND CHANGES IN THE BALANCE SHEET 94 4.6
RISK ANALYSIS OF THE BALANCE SHEET STRUCTURE AND GROWTH 96 5 INCOME
STATEMENT STRUCTURE 101 5.1 PROFITABILITY 101 5.2 INCOME STATEMENT
COMPOSITION 103 5.3 ANALYZING THE SOURCES OF BANKING INCOME 107 5.4
ANALYZING QUALITY OF EARNINGS 109 5.5 ANALYSIS OF PROFITABILITY
INDICATORS AND RATIOS 113 5.6 ASSESSING INTERNAL PERFORMANCE 118 6
CAPITAL ADEQUACY 121 6.1 INTRODUCTION: THE CHARACTERISTICS AND FUNCTIONS
OF CAPITAL 122 6.2 CAPITAL ADEQUACY STANDARDS AND THE BASEL ACCORDS 123
6.3 CONSTITUENTS OF CAPITAL AND MINIMUM CAPITAL REQUIREMENTS 127 6.4
RISK-BASED REGULATORY CAPITAL ALLOCATION: PILLAR 1 131 6.5 SUPERVISORY
REVIEW: PILLAR 2 ^ 143 6.6 MARKET DISCIPLINE: PILLAR 3 145 6.7
MANAGEMENT OF CAPITAL ADEQUACY 146 6.8 ANALYSIS OF A BANK S CAPITAL
ADEQUACY 147 ANNEX 6A: CREDIT RISK-RELATED WEIGHT ASSIGNMENTS UNDER THE
BASEL I ACCORD, COVERED BY TIER 1 AND TIER 2 CAPITAL 153 ANNEX 6B:
CALCULATION OF THE CAPITAL ADEQUACY RATIO TO INCLUDE MARKET RISK (TIER 3
CAPITAL) 156 7 CREDIT RISK MANAGEMENT 161 7.1 ESTABLISHING POLICIES FOR
MANAGING CREDIT RISK 161 7.2 REGULATORY POLICIES TO LIMIT EXPOSURES 162
7.3 MANAGEMENT POLICIES TO REDUCE CREDIT RISK 166 7.4 ANALYZING CREDIT
RISK 171 7.5 ASSET CLASSIFICATION AND LOAN LOSS PROVISIONING 177 7.6
ASSESSING CREDIT RISK MANAGEMENT CAPACITY 187 CONTENT VII 8 LIQUIDITY
RISK MANAGEMENT 191 8.1 THE NEED FOR LIQUIDITY 191 8.2 LIQUIDITY
MANAGEMENT POLICIES 195 8.3 THE REGULATORY ENVIRONMENT 198 8.4 THE
STRUCTURE OF FUNDING 201 8.5 CASH FLOW ANALYSIS 203 8.6 VOLATILITY OF
FUNDING AND CONCENTRATION OF DEPOSITS 207 8.7 LIQUIDITY RISK MANAGEMENT
TECHNIQUES 209 9 MANAGING LIQUIDITY AND OTHER INVESTMENT PORTFOLIOS 215
9.1 NATURE OF THE LIQUIDITY PORTFOLIO . 215 9.2 INVESTMENT POLICY . 2
1 6 9.3 STRATEGIC ASSET ALLOCATION 217 9.4 BENCHMARK PORTFOLIO 219 9.5
ELIGIBLE INSTRUMENTS 221 9.6 CREDIT RISK 222 9.7 MARKET RISK 223 9.8
ACTIVE MANAGEMENT 223 9.9 RISK BUDGETS 225 9.10 MANAGEMENT REPORTING 226
10 MARKET RISK MANAGEMENT 227 10.1 SOURCES OF MARKET RISK: SELECTED
CONCEPTS 227 10.2 MEASURING INTEREST RATE SENSITIVITY 231 10.3 PORTFOLIO
RISK MANAGEMENT 235 10.4 MARKET RISK MEASUREMENT: VALUE AT RISK (VAR) AS
A POSSIBLE TOOL 238 10.5 RISK AND PERFORMANCE MEASUREMENT ^ 246 10.6
STRESS TESTING AND SCENARIO ANALYSIS 251 11 CURRENCY RISK MANAGEMENT X
255 11.1 INTRODUCTION: ORIGIN AND COMPONENTS OF CURRENCY RISK 255 11.2
POLICIES FOR CURRENCY RISK MANAGEMENT 257 11.3 CURRENCY RISK EXPOSURE
AND BUSINESS STRATEGY 264 11.4 REVIEW OF CURRENCY RISK MANAGEMENT
PROCEDURES 268 12 ASSET-LIABILITY MANAGEMENT 277 12.1 OBJECTIVE OF
ASSET-LIABILITY MANAGEMENT 277 12.2 INTEREST RATE RISK MANAGEMENT
RESPONSIBILITIES 280 12.3 MODELS FOR THE MANAGEMENT OF INTEREST RATE
RISK IN THE BALANCE SHEET 282 12.4 THE IMPACT OF CHANGES IN FORECAST
YIELD CURVES 290 VIII ANALYZING BANKING RISK 13 OPERATIONAL RISK
MANAGEMENT IN A TREASURY ENVIRONMENT 293 13.1 OPERATIONAL RISK
MANAGEMENT AND THE BASEL COMMITTEE INITIATIVES 294 13.2 A FRAMEWORK FOR
MANAGING AND REPORTING OPERATIONAL RISK 300 13.3 IDENTIFICATION OF
BUSINESS LINE FUNCTIONS AND ACTIVITIES 306 13.4 PROCESS FLOWS:
DOCUMENTING THE MANNER IN WHICH FUNCTIONS ARE PERFORMED 308 13.5 RISK
ASSESSMENT: CONTRIBUTION OF PEOPLE, PROCESSES, SYSTEMS, AND EXTERNAL
EVENTS 309 13.6 CONTROL ASSESSMENT , 312 13.7 KEY INDICATORS OF
PERFORMANCE AND RISK ^ 315 13.8 OPERATIONAL RISK REPORTING: ANALYSIS,
ACTIONS, AND ACCOUNTABILITY 320 ANNEX 13A. OVERVIEW OF FUNCTIONS AND
ACTIVITIES IN A TREASURY ENVIRONMENT 325 14 TRANSPARENCY AND DATA
QUALITY 339 14.1 INTRODUCTION: THE IMPORTANCE OF USEFUL INFORMATION 339
14.2 TRANSPARENCY AND ACCOUNTABILITY 341 14.3 TRANSPARENCY IN FINANCIAL
STATEMENTS 343 14.4 DISCLOSURE IN THE FINANCIAL STATEMENTS OF BANKS 347
14.5 APPLICATION OF ACCOUNTING STANDARDS 352 15 A RISK-BASED APPROACH TO
BANK SUPERVISION 357 15.1 INTRODUCTION: THE BANK SUPERVISORY PROCESS 357
15.2 BANKING RISKS AND THE ACCOUNTABILITY OF REGULATORY/SUPERVISORY
AUTHORITIES 361 15.3 THE SUPERVISORY PROCESS 364 15.4 CONSOLIDATED
SUPERVISION ^ 373 15.5 SUPERVISORY COOPERATION WITH INTERNAL AND
EXTERNAL AUDITORS 377 APPENDIXES A QUESTIONNAIRE: ANALYTICAL REVIEW OF
BANKS 379 B SUMMARY OF CORE PRINCIPLES EVALUATION 413 C BASEL CORE
PRINCIPLES FOR EFFECTIVE BANKING SUPERVISION OCTOBER 2006 417
|
any_adam_object | 1 |
author | Greuning, Hennie van Brajovic Bratanovic, Sonja |
author_facet | Greuning, Hennie van Brajovic Bratanovic, Sonja |
author_role | aut aut |
author_sort | Greuning, Hennie van |
author_variant | h v g hv hvg b s b bs bsb |
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callnumber-first | H - Social Science |
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ctrlnum | (OCoLC)699316228 (DE-599)BSZ305818996 |
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dewey-raw | 332.1/068/1 |
dewey-search | 332.1/068/1 |
dewey-sort | 3332.1 268 11 |
dewey-tens | 330 - Economics |
discipline | Wirtschaftswissenschaften |
edition | 3. ed. |
format | Book |
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id | DE-604.BV035635822 |
illustrated | Illustrated |
indexdate | 2024-07-09T21:42:07Z |
institution | BVB |
isbn | 9780821377284 9780821378984 |
language | English |
oai_aleph_id | oai:aleph.bib-bvb.de:BVB01-017690682 |
oclc_num | 699316228 |
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owner | DE-12 DE-355 DE-BY-UBR DE-11 |
owner_facet | DE-12 DE-355 DE-BY-UBR DE-11 |
physical | XIV, 422 S. graph. Darst. |
publishDate | 2009 |
publishDateSearch | 2009 |
publishDateSort | 2009 |
publisher | World Bank |
record_format | marc |
spelling | Greuning, Hennie van Verfasser aut Analyzing banking risk a framework for assessing corporate governance and risk management Hennie van Greuning ; Sonja Brajovic Bratanovic 3. ed. Washington, DC World Bank 2009 XIV, 422 S. graph. Darst. txt rdacontent n rdamedia nc rdacarrier Bankrisiko stw Bilanzstrukturmanagement stw Corporate Governance stw Risikomanagement stw Bank management Corporate governance Risk management Risikomanagement (DE-588)4121590-4 gnd rswk-swf Bilanzstrukturmanagement (DE-588)4413520-8 gnd rswk-swf Bank (DE-588)4004436-1 gnd rswk-swf Corporate Governance (DE-588)4419850-4 gnd rswk-swf Bank (DE-588)4004436-1 s Risikomanagement (DE-588)4121590-4 s Corporate Governance (DE-588)4419850-4 s Bilanzstrukturmanagement (DE-588)4413520-8 s DE-604 Brajovic Bratanovic, Sonja Verfasser aut DE-601 pdf/application http://www.gbv.de/dms/zbw/598241825.pdf kostenfrei Inhaltsverzeichnis GBV Datenaustausch application/pdf http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=017690682&sequence=000001&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA Inhaltsverzeichnis |
spellingShingle | Greuning, Hennie van Brajovic Bratanovic, Sonja Analyzing banking risk a framework for assessing corporate governance and risk management Bankrisiko stw Bilanzstrukturmanagement stw Corporate Governance stw Risikomanagement stw Bank management Corporate governance Risk management Risikomanagement (DE-588)4121590-4 gnd Bilanzstrukturmanagement (DE-588)4413520-8 gnd Bank (DE-588)4004436-1 gnd Corporate Governance (DE-588)4419850-4 gnd |
subject_GND | (DE-588)4121590-4 (DE-588)4413520-8 (DE-588)4004436-1 (DE-588)4419850-4 |
title | Analyzing banking risk a framework for assessing corporate governance and risk management |
title_auth | Analyzing banking risk a framework for assessing corporate governance and risk management |
title_exact_search | Analyzing banking risk a framework for assessing corporate governance and risk management |
title_full | Analyzing banking risk a framework for assessing corporate governance and risk management Hennie van Greuning ; Sonja Brajovic Bratanovic |
title_fullStr | Analyzing banking risk a framework for assessing corporate governance and risk management Hennie van Greuning ; Sonja Brajovic Bratanovic |
title_full_unstemmed | Analyzing banking risk a framework for assessing corporate governance and risk management Hennie van Greuning ; Sonja Brajovic Bratanovic |
title_short | Analyzing banking risk |
title_sort | analyzing banking risk a framework for assessing corporate governance and risk management |
title_sub | a framework for assessing corporate governance and risk management |
topic | Bankrisiko stw Bilanzstrukturmanagement stw Corporate Governance stw Risikomanagement stw Bank management Corporate governance Risk management Risikomanagement (DE-588)4121590-4 gnd Bilanzstrukturmanagement (DE-588)4413520-8 gnd Bank (DE-588)4004436-1 gnd Corporate Governance (DE-588)4419850-4 gnd |
topic_facet | Bankrisiko Bilanzstrukturmanagement Corporate Governance Risikomanagement Bank management Corporate governance Risk management Bank |
url | http://www.gbv.de/dms/zbw/598241825.pdf http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=017690682&sequence=000001&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA |
work_keys_str_mv | AT greuninghennievan analyzingbankingriskaframeworkforassessingcorporategovernanceandriskmanagement AT brajovicbratanovicsonja analyzingbankingriskaframeworkforassessingcorporategovernanceandriskmanagement |
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