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Asset Liability Management & Interest Rate Risk in the Banking Book - Part 2 of 4

The Education of a Value Investor

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Navigating Capital Management in Banking

This chapter explores the complexities of capital management within banking systems, comparing successful capitalist models to developing economies. It discusses the challenges posed by 'trapped capital' and the need for effective regulatory measures to maintain financial stability while supporting economic growth. Additionally, the chapter highlights the importance of interest rate management, asset liability strategies, and the implications of different accounting practices on bank profitability.

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