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Management of Banking and Financial Services, 4th Edition by Pearson
book

Management of Banking and Financial Services, 4th Edition by Pearson

by Suresh Padmalatha,, Paul Justin
December 2017
Intermediate to advanced
761 pages
43h 46m
English
Pearson India
Content preview from Management of Banking and Financial Services, 4th Edition by Pearson
314 n management of banking and financial services
1. Credit risk of portfolio in Figure 9.4 indicates the output dening the probability distribution of losses due to
credit risk.
2. The marginal credit risk of the portfolio in Figure 9.4 depicts how the risk-return trade off would change if
an incremental (marginal) asset is added to the portfolio. This output helps bank managers to decide on new
investment options for the bank and the price that can be paid for the opportunity.
3. The optimal portfolio is the optimal mix of assets that the bank should have at that point in time.
Every credit risk model is built on certain assumptions ...
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Management of Banking and Financial Services, 4th Edition

Management of Banking and Financial Services, 4th Edition

Suresh Padmalatha, Paul Justin

Publisher Resources

ISBN: 9789353062378