Arbeitspapier

The liquidity reserve funding and management strategies

This paper investigates the managing strategies of a bank's liquidity reserve in the broader context of the role of asset-liability management according to the liquidity issues of a banking organisation. Several types of liquidity are presented and how these are interconnected and how they might affect a financial institution's liquidity risk. When managing the liquidity reserve and its included assets, the following influencing factors need to be taken into account: Firstly, the banking organisation itself, with its business model, funding structure and related types of risk; secondly, national and international regulatory requirements have to be fulfilled and lastly, financial market behaviour and its participants need to have carefully watched and anticipated, in order to manage the risk which might arise from the liquidity reserve itself.

Sprache
Englisch

Erschienen in
Series: Frankfurt School - Working Paper Series ; No. 210

Klassifikation
Wirtschaft
General Financial Markets: Government Policy and Regulation
Financial Institutions and Services: General
Investment Banking; Venture Capital; Brokerage; Ratings and Ratings Agencies
Financial Institutions and Services: Government Policy and Regulation
Thema
Asset Liability Management
Liquidity Management
Liquidity Reserve
Reserve Assets

Ereignis
Geistige Schöpfung
(wer)
Heidorn, Thomas
Buschmann, Christian
Ereignis
Veröffentlichung
(wer)
Frankfurt School of Finance & Management
(wo)
Frankfurt a. M.
(wann)
2014

Handle
Letzte Aktualisierung
10.03.2025, 11:45 MEZ

Datenpartner

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Objekttyp

  • Arbeitspapier

Beteiligte

  • Heidorn, Thomas
  • Buschmann, Christian
  • Frankfurt School of Finance & Management

Entstanden

  • 2014

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