21min chapter

The Education of a Value Investor cover image

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

The Education of a Value Investor

CHAPTER

Understanding Gap Risk in Banking

This chapter explores gap risk in banking, emphasizing the challenges that arise from mismatched durations of assets and liabilities, particularly in light of rising interest rates. By drawing parallels with historical crises and personal finance, it highlights essential financial metrics like Net Interest Income (NII) and Economic Value of Equity (EVE) while discussing regulatory expectations and risk appetite frameworks. The chapter also addresses the complexities of asset liability management and the regulatory environment governing banking practices.

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