Clearing, Settlement and Custody (Hardcover, 2nd edition)


Four new chapters and updates throughout help this 2e of "Clearing, Settlement and Custody" summarize worldwide changes in the process of concluding a financial transaction. Noted consultant David Loader provides a highly detailed analysis of the central clearing counterparty concept, the drivers behind it, and its effects on operations teams. He also clearly illustrates the life cycle of a series of transactions to broaden the comparison process.

Emphasizing changes in the regulatory environment stemming from the 2008 market crash and liquidity crisis, this edition uses new case studies and end-of-chapter quizzes to explore the transaction value chain of trading, clearing, settlement, and custody. Students and professionals in the financial field will benefit from the book's description of the industry and the details of financial innovation and regulatory response, with their many implications.
Supplements theoretical insights about risk with empirical data from current casesProvides the first algorithmic risk management technique that spans multiple asset classes End-of-chapter questions reinforce primary and secondary points


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Product Description

Four new chapters and updates throughout help this 2e of "Clearing, Settlement and Custody" summarize worldwide changes in the process of concluding a financial transaction. Noted consultant David Loader provides a highly detailed analysis of the central clearing counterparty concept, the drivers behind it, and its effects on operations teams. He also clearly illustrates the life cycle of a series of transactions to broaden the comparison process.

Emphasizing changes in the regulatory environment stemming from the 2008 market crash and liquidity crisis, this edition uses new case studies and end-of-chapter quizzes to explore the transaction value chain of trading, clearing, settlement, and custody. Students and professionals in the financial field will benefit from the book's description of the industry and the details of financial innovation and regulatory response, with their many implications.
Supplements theoretical insights about risk with empirical data from current casesProvides the first algorithmic risk management technique that spans multiple asset classes End-of-chapter questions reinforce primary and secondary points

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Product Details

General

Imprint

Butterworth-Heinemann

Country of origin

United Kingdom

Release date

October 2013

Availability

Supplier out of stock. If you add this item to your wish list we will let you know when it becomes available.

First published

December 2013

Authors

Dimensions

244 x 198 x 20mm (L x W x T)

Format

Hardcover

Pages

227

Edition

2nd edition

ISBN-13

978-0-08-098333-2

Barcode

9780080983332

Categories

LSN

0-08-098333-2



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