Bank and Country Risk
Analysis
Bank and country risk, understanding it and assessing it, quantitatively and
qualitatively, has attained an importance for bankers, regulators and investors that has
increased dramatically over recent years. The Russian economy's collapse and the
enormous losses in Asian banks emphasises the need to understand risk assessment. This
workbook takes you through the analytical process and evaluates the various models to do
this.
The complete self-study
course for
BANK AND COUNTRY RISK
ANALYSIS
This complete training course
for bankers, regulators or investors will ensure you have a comprehensive understanding of
bank and country risk analysis techniques and their applications.
In four detailed modules the
workbook examines each aspect of bank and country risk analysis including: analysis of
qualitative risks such as management, banking regulations and ratings agencies; financial
risk analysis including financial statement analysis, inter-country comparisons and
investment banking analysis; country risk analysis; and the construction and use of
country risk models.
If you can't afford the time
or expense of a training course, this workbook is your solution. You can learn at your own
pace, wherever and whenever suits you. It is an invaluable training tool.
280 pages