The Education of a Value Investor cover image

Asset Liability Management & Interest Rate Risk in the Banking Book - Part 3 of 4

The Education of a Value Investor

CHAPTER

Managing Cash Flows and Liquidity Risks

This chapter explores asset and liability management, emphasizing the importance of modeling expected cash flows to navigate liquidity risks and shareholder redemptions. The discussion also highlights the impact of economic conditions on client withdrawal behavior and the complexities associated with simultaneous redemptions.

00:00
Transcript
Play full episode

Remember Everything You Learn from Podcasts

Save insights instantly, chat with episodes, and build lasting knowledge - all powered by AI.
App store bannerPlay store banner