The future of finance: a new model for banking and investment
Gespeichert in:
1. Verfasser: | |
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Format: | Elektronisch E-Book |
Sprache: | English |
Veröffentlicht: |
Hoboken, N.J.
John Wiley
c2010
|
Schriftenreihe: | Wiley finance series
|
Schlagworte: | |
Online-Zugang: | UBG01 Volltext |
Beschreibung: | "New banking and investment business models to navigate the post-financial crisis environment The financial crisis of 2007-2008 has discredited business models in the banking and fund management industries. In The Future of Finance, Moorad Choudhry and Gino Landuyt argue that banks must realign their business models, implying a lower return-on-equity; diversifying their funding sources; and increasing liquidity reserves. On the investment side, the authors discuss how diversification did not reduce risk, but rather amplified it, and failed to stabilize returns. The authors conclude that the clear lesson from the crisis is to know one's risk. A lesson that is best served by concentrating on assets and sectors that you understand. Examines the weaknesses in the business models of many institutions, as well as the theoretical foundation for professionals in the field of finance. Identifies the shortcomings of Modern Portfolio Theory. Addresses how investment managers can find new strategies for creating "alpha" and why they need to re-vamp their fee structures. Filled with in-depth insights and practical advice, The Future of Finance will provide bankers and investment managers with a guide to realigning their businesses in order to prosper in the post-crisis financial markets."-- Includes bibliographical references and index |
Beschreibung: | 1 Online-Ressource (xxvi, 198 p.) |
ISBN: | 9781118266861 1118266862 9780470906446 0470906448 9780470572290 0470572299 |
Internformat
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100 | 1 | |a Choudhry, Moorad |e Verfasser |4 aut | |
245 | 1 | 0 | |a The future of finance |b a new model for banking and investment |c Moorad Choudhry, Gino Landuyt |
264 | 1 | |a Hoboken, N.J. |b John Wiley |c c2010 | |
300 | |a 1 Online-Ressource (xxvi, 198 p.) | ||
336 | |b txt |2 rdacontent | ||
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490 | 0 | |a Wiley finance series | |
500 | |a "New banking and investment business models to navigate the post-financial crisis environment The financial crisis of 2007-2008 has discredited business models in the banking and fund management industries. In The Future of Finance, Moorad Choudhry and Gino Landuyt argue that banks must realign their business models, implying a lower return-on-equity; diversifying their funding sources; and increasing liquidity reserves. On the investment side, the authors discuss how diversification did not reduce risk, but rather amplified it, and failed to stabilize returns. The authors conclude that the clear lesson from the crisis is to know one's risk. A lesson that is best served by concentrating on assets and sectors that you understand. Examines the weaknesses in the business models of many institutions, as well as the theoretical foundation for professionals in the field of finance. Identifies the shortcomings of Modern Portfolio Theory. Addresses how investment managers can find new strategies for creating "alpha" and why they need to re-vamp their fee structures. Filled with in-depth insights and practical advice, The Future of Finance will provide bankers and investment managers with a guide to realigning their businesses in order to prosper in the post-crisis financial markets."-- | ||
500 | |a Includes bibliographical references and index | ||
505 | 0 | |a The Future of Finance: A New Model for Banking and Investment; Contents; Foreword; Preface; Introduction; MARKET INSTABILITY; DERIVATIVES AND MATHEMATICAL MODELING; SENIOR MANAGEMENT AND STAYING IN THE GAME; MACROPRUDENTIAL FINANCIAL REGULATION AND CYCLE-PROOF REGULATION; THE WAY FORWARD; CONCLUSION; Part One: A Review of the Financial Crash; Chapter 1: Globalization, Emerging Markets, and the Savings Glut; Chapter 2: The Rise of Derivatives and Systemic Risk; Chapter 3: The Too-Big-to-Fail Bank, Moral Hazard, and Macroprudential Regulation | |
650 | 4 | |a Business | |
650 | 4 | |a Bank | |
650 | 4 | |a Wirtschaft | |
650 | 4 | |a Banks and banking | |
650 | 4 | |a Portfolio management | |
650 | 4 | |a Risk | |
650 | 4 | |a Investments | |
650 | 4 | |a Global Financial Crisis, 2008-2009 | |
700 | 1 | |a Landuyt, Gino |e Sonstige |4 oth | |
856 | 4 | 0 | |u https://onlinelibrary.wiley.com/doi/book/10.1002/9781118266861 |x Verlag |3 Volltext |
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Datensatz im Suchindex
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any_adam_object | |
author | Choudhry, Moorad |
author_facet | Choudhry, Moorad |
author_role | aut |
author_sort | Choudhry, Moorad |
author_variant | m c mc |
building | Verbundindex |
bvnumber | BV041167567 |
collection | ZDB-35-WCE ZDB-35-WIC |
contents | The Future of Finance: A New Model for Banking and Investment; Contents; Foreword; Preface; Introduction; MARKET INSTABILITY; DERIVATIVES AND MATHEMATICAL MODELING; SENIOR MANAGEMENT AND STAYING IN THE GAME; MACROPRUDENTIAL FINANCIAL REGULATION AND CYCLE-PROOF REGULATION; THE WAY FORWARD; CONCLUSION; Part One: A Review of the Financial Crash; Chapter 1: Globalization, Emerging Markets, and the Savings Glut; Chapter 2: The Rise of Derivatives and Systemic Risk; Chapter 3: The Too-Big-to-Fail Bank, Moral Hazard, and Macroprudential Regulation |
ctrlnum | (OCoLC)676698640 (DE-599)BVBBV041167567 |
dewey-full | 332.1 |
dewey-hundreds | 300 - Social sciences |
dewey-ones | 332 - Financial economics |
dewey-raw | 332.1 |
dewey-search | 332.1 |
dewey-sort | 3332.1 |
dewey-tens | 330 - Economics |
discipline | Wirtschaftswissenschaften |
format | Electronic eBook |
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illustrated | Not Illustrated |
indexdate | 2024-07-10T00:41:11Z |
institution | BVB |
isbn | 9781118266861 1118266862 9780470906446 0470906448 9780470572290 0470572299 |
language | English |
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publisher | John Wiley |
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spelling | Choudhry, Moorad Verfasser aut The future of finance a new model for banking and investment Moorad Choudhry, Gino Landuyt Hoboken, N.J. John Wiley c2010 1 Online-Ressource (xxvi, 198 p.) txt rdacontent c rdamedia cr rdacarrier Wiley finance series "New banking and investment business models to navigate the post-financial crisis environment The financial crisis of 2007-2008 has discredited business models in the banking and fund management industries. In The Future of Finance, Moorad Choudhry and Gino Landuyt argue that banks must realign their business models, implying a lower return-on-equity; diversifying their funding sources; and increasing liquidity reserves. On the investment side, the authors discuss how diversification did not reduce risk, but rather amplified it, and failed to stabilize returns. The authors conclude that the clear lesson from the crisis is to know one's risk. A lesson that is best served by concentrating on assets and sectors that you understand. Examines the weaknesses in the business models of many institutions, as well as the theoretical foundation for professionals in the field of finance. Identifies the shortcomings of Modern Portfolio Theory. Addresses how investment managers can find new strategies for creating "alpha" and why they need to re-vamp their fee structures. Filled with in-depth insights and practical advice, The Future of Finance will provide bankers and investment managers with a guide to realigning their businesses in order to prosper in the post-crisis financial markets."-- Includes bibliographical references and index The Future of Finance: A New Model for Banking and Investment; Contents; Foreword; Preface; Introduction; MARKET INSTABILITY; DERIVATIVES AND MATHEMATICAL MODELING; SENIOR MANAGEMENT AND STAYING IN THE GAME; MACROPRUDENTIAL FINANCIAL REGULATION AND CYCLE-PROOF REGULATION; THE WAY FORWARD; CONCLUSION; Part One: A Review of the Financial Crash; Chapter 1: Globalization, Emerging Markets, and the Savings Glut; Chapter 2: The Rise of Derivatives and Systemic Risk; Chapter 3: The Too-Big-to-Fail Bank, Moral Hazard, and Macroprudential Regulation Business Bank Wirtschaft Banks and banking Portfolio management Risk Investments Global Financial Crisis, 2008-2009 Landuyt, Gino Sonstige oth https://onlinelibrary.wiley.com/doi/book/10.1002/9781118266861 Verlag Volltext |
spellingShingle | Choudhry, Moorad The future of finance a new model for banking and investment The Future of Finance: A New Model for Banking and Investment; Contents; Foreword; Preface; Introduction; MARKET INSTABILITY; DERIVATIVES AND MATHEMATICAL MODELING; SENIOR MANAGEMENT AND STAYING IN THE GAME; MACROPRUDENTIAL FINANCIAL REGULATION AND CYCLE-PROOF REGULATION; THE WAY FORWARD; CONCLUSION; Part One: A Review of the Financial Crash; Chapter 1: Globalization, Emerging Markets, and the Savings Glut; Chapter 2: The Rise of Derivatives and Systemic Risk; Chapter 3: The Too-Big-to-Fail Bank, Moral Hazard, and Macroprudential Regulation Business Bank Wirtschaft Banks and banking Portfolio management Risk Investments Global Financial Crisis, 2008-2009 |
title | The future of finance a new model for banking and investment |
title_auth | The future of finance a new model for banking and investment |
title_exact_search | The future of finance a new model for banking and investment |
title_full | The future of finance a new model for banking and investment Moorad Choudhry, Gino Landuyt |
title_fullStr | The future of finance a new model for banking and investment Moorad Choudhry, Gino Landuyt |
title_full_unstemmed | The future of finance a new model for banking and investment Moorad Choudhry, Gino Landuyt |
title_short | The future of finance |
title_sort | the future of finance a new model for banking and investment |
title_sub | a new model for banking and investment |
topic | Business Bank Wirtschaft Banks and banking Portfolio management Risk Investments Global Financial Crisis, 2008-2009 |
topic_facet | Business Bank Wirtschaft Banks and banking Portfolio management Risk Investments Global Financial Crisis, 2008-2009 |
url | https://onlinelibrary.wiley.com/doi/book/10.1002/9781118266861 |
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