Balance Sheet: Volume 8 Issue 3

Subject:

Table of contents

Interest rate exposure and the Basle proposals

John Ashenhurst

Expresses concern that the Basle proposals do not accord with current UK institutions principles and outlines areas, in great detail, which need to be addressed. States there are…

26167

Enhancing risk measurement capabilities

Thomas Garside, Peter Nakada

Examines the rapid advances in risk measurement capabilities of financial institutions with the Basle Accord standards firmly in mind. Gives firm guidelines from the Basle…

41252

Successful portfolio management and RAPM

Julian Leake

Demonstrates complete overview of risk‐adjusted performance measurement (RAPM) and how it can be a key management tool – particularly when combined with an economic capital…

54540

Building an ALM model: a practical guide

Joe DiRollo

States that, to build an asset and liability management (ALM) model is a large and crucial project giving the choice of self‐build or to purchase an established model. Gives pros…

15803

Making software decisions: a case study

Jane Keegan

Outlines how Landesbank Baden‐Württemberg (LBBW) chose its new risk management software and the criteria required by the provider. Describes how three banks merged in January 1999…

31997

New technology in treasury systems

Charles Palmer

Investigates Internet‐related changes taking place in the financial world – particularly in treasury systems. Looks at web/com enabling and server‐based thin client in depth, as…

12042

The rise and rise of e‐commerce

John Maloney

Looks at how major companies have benefited from investing in e‐commerce and recommends all businesses should follow their lead. Examines the rise in dot.com shares in the USA and…

31664

Regulation in the connected world

Paul Williams, Andrew Whitton

Reports on e‐business and its boom in the financial sector and the criteria required to meet rules laid down by the Financial Services Authority (FSA). Presents FSA requirements…

29162

Researching risk issues in the 21st century

Richard Anderson

Documents a joint venture between PricewaterhouseCoopers and the London School of Economics with regard to changes facing risk management. Chronicles that risk management is in…

20537

Group risk and ALM: the job market overview

Mike Richards

Reports on recent unsettled years in the group risk market and the steady period of recruitment in investment and retail banks. Suggests that the best ways to retain staff are…

1952

The curious case of the disentangled debit

Robert Bittlestone

Takes a humorous view, using Sherlock Holmes and Dr Watson, in setting up a hypothetical case of derivative investigation by the two sleuths. Asks a few questions along the way…

1414

ISSN:

0965-7967

Online date, start – end:

2000 – 2004

Copyright Holder:

Emerald Publishing Limited

Merged to become:

Journal of Risk Finance