Risk Management Sophistication and Bank Profitability - Andrey Gurov - Books - LAP LAMBERT Academic Publishing - 9783659517310 - June 6, 2014
In case cover and title do not match, the title is correct

Risk Management Sophistication and Bank Profitability


Get an email once the item is available
Do you have a profile? Log in
Get notified about new Andrey Gurov releases
Add to your iMusic wish list

Not rated yet

This work investigates the latest developments in commercial banking with regard to the measurement and management of risk and analyzes their effect on mid-market financial institutions. We look at how the implementation of advanced rating techniques influences the competitive position of market participants depending on their portfolio structure and competitive environment. To simulate rating sophistication we assume that in the process of credit assessment banks observe noisy signals about the creditworthiness of credit applicants. In the case of a competitive market then banks offer differing interest rates based on their loss estimates, whereas the customer chooses the credit with the lowest price. A simulation procedure is used in order to quantify the resulting profitability effects. The analysis reveals profitability differentials depending on the rating accuracy in different sections of the portfolio, the structure of the rating scale, and the specific competitive environment.

Media Books     Paperback Book   (Book with soft cover and glued back)
Released June 6, 2014
ISBN13 9783659517310
Publishers LAP LAMBERT Academic Publishing
Pages 88
Dimensions 150 × 5 × 226 mm   ·   149 g
Language German