Preparation And Management Of Commercial Bank’s Investment Portfolio

Preparation And Management Of Commercial Bank’s Investment Portfolio

Тhe example of the Greek banking sector

International Research Press ( 26.06.2015 )

€ 94,90

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Bank's Investment Portfolio is very sensitive barometer of external politic and economic factors. The present book focuses first, on the definition of investment portfolio structure.Secondly, focus was put on the methodology of optimization,especially MGARCH models and Optimization Mean-Variance.The experimental campaign to obtain the effects of regulation interventions in Greece about the period of debt crisis.Thirdly, based on the experimental results obtained, econometric model was constructed for tree countries-Greece,Germany,France. This was obtained on the constructing of multi GARCH model to describe the correlations and volatility of these markets. Finally the last part of the study focuses on the problems in Bulgaria and her banking sector. The modelling includes elements of three science disciplines -banking,international finance and investment portfolio management.

Buch Details:

ISBN-13:

978-3-639-70088-6

ISBN-10:

3639700880

EAN:

9783639700886

Buchsprache:

English

Herausgegeben von:

Daniela Staneva-Petkova

Seitenanzahl:

256

Veröffentlicht am:

26.06.2015

Kategorie:

Geld, Bank, Börse