Extent:
xvii, 427 pages
illustrations
24 cm
Type of publication: Book / Working Paper
Type of publication (narrower categories): Sammelwerk ; Collection of articles of several authors
Language: English
Notes:
Includes bibliographical references and index
Enthält 16 Beiträge
1. Introduction / Sumit Mehta,
Section I. The new paradigm. 2. European market infrastructure regulation / Craig Bisson
3. Dodd-Frank / Azam H. Aziz,
4. Basel III / Walter Vecchiato
5. Solvency II / Paul Fulcher,
Section II. Industry focus. 6. CCPs: central clearing of ITC derivatives / Richard Walker
7. Banks: the impact of new regulation / Peter Nowell
8. Asset managers / Sam Priyadarshi
9. Hedge funds: risk management in an illiquid world / Nancy Davis
10. Insurers: liability-driven investing for insurers / Erik Vynckier
11. Corporate treasuries Thomas C. Deas, Jr. / Jeffrey L. Steiner,
12. Sovereigns / Hans J. Blommestein
13. Other sectors / Jaki Walsh
Section III. Key impacts. 14. Counterparty risk management / Adam Baker,
15. Collateral: transformation & optimisation / Philip McCabe
16. Liquidity / Simon Freedman,
17. Pricing / Chris Kenyon ; 18. Conclusion / Sumit Mehta,
ISBN: 978-1-78272-220-5 ; 1-78272-220-3
Source:
ECONIS - Online Catalogue of the ZBW
Persistent link: https://www.econbiz.de/10011783146