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

The Education of a Value Investor

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Navigating Interest Rate Risk Management

This chapter explores the complexities of managing interest rate risk within banking, contrasting the implications of fixed and floating rate loans. It discusses the risks posed by currency fluctuations and the evolving landscape of risk analysis and regulatory frameworks. Additionally, the narrative emphasizes the importance of education and personal development in understanding and navigating risk management strategies.

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