Asset management at central banks and monetary authorities : new practices in managing international foreign exchange reserves /: new practices in managing international foreign exchange reserves. ([2020])
- Record Type:
- Book
- Title:
- Asset management at central banks and monetary authorities : new practices in managing international foreign exchange reserves /: new practices in managing international foreign exchange reserves. ([2020])
- Main Title:
- Asset management at central banks and monetary authorities : new practices in managing international foreign exchange reserves
- Further Information:
- Note: Jacob Bjorheim, editor.
- Editors:
- Bjorheim, Jacob
- Contents:
- Chapter 1. Asset Management at Central Banks and Monetary Authorities -- Chapter 2. Central Banks: Gatekeepers of Monetary Stability and Guardians of Public Interest -- Chapter 3. Larger Central Bank Balance Sheets: A New Normal for Monetary Policy?- Chapter 4. How Countries Manage Large Central Bank Balance Sheets -- Chapter 5. Reserve Accumulation, Sovereign Debt and Exchange Rate Policy -- Chapter 6. The cost of holding foreign exchange reserves -- Chapter 7. Saudi Arabian Monetary Authority: Why do central banks hold domestic and foreign currency assets?- Chapter 8. Safe assets: Made, not just born -- Chapter 9. Expansion and contraction of central bank balance sheets: Implications for commercial banks -- Chapter 10. Management of Canadas Foreign Exchange Reserves -- Chapter 11. How the Monetary Authority of Singapore (MAS) manages its assets -- Chapter 12. The South African Reserve Banks Strategic Asset Allocation Value Chain -- Chapter 13. European Central Bank: The investment decision-making process and its governance -- Chapter 14. Reserves management at Danmarks National Bank: Combining liquidity tiers with an adaptive risk budget -- Chapter 15. The Swiss National Banks investment decision-making process from a safe-haven currency perspective -- Chapter 16. The Strategic Asset Allocation Framework of Banco de México -- Chapter 17. Macro risk management in a commodity-dependent economy: The case of the Central Bank of Chile -- Chapter 18. Dynamic Strategic AssetChapter 1. Asset Management at Central Banks and Monetary Authorities -- Chapter 2. Central Banks: Gatekeepers of Monetary Stability and Guardians of Public Interest -- Chapter 3. Larger Central Bank Balance Sheets: A New Normal for Monetary Policy?- Chapter 4. How Countries Manage Large Central Bank Balance Sheets -- Chapter 5. Reserve Accumulation, Sovereign Debt and Exchange Rate Policy -- Chapter 6. The cost of holding foreign exchange reserves -- Chapter 7. Saudi Arabian Monetary Authority: Why do central banks hold domestic and foreign currency assets?- Chapter 8. Safe assets: Made, not just born -- Chapter 9. Expansion and contraction of central bank balance sheets: Implications for commercial banks -- Chapter 10. Management of Canadas Foreign Exchange Reserves -- Chapter 11. How the Monetary Authority of Singapore (MAS) manages its assets -- Chapter 12. The South African Reserve Banks Strategic Asset Allocation Value Chain -- Chapter 13. European Central Bank: The investment decision-making process and its governance -- Chapter 14. Reserves management at Danmarks National Bank: Combining liquidity tiers with an adaptive risk budget -- Chapter 15. The Swiss National Banks investment decision-making process from a safe-haven currency perspective -- Chapter 16. The Strategic Asset Allocation Framework of Banco de México -- Chapter 17. Macro risk management in a commodity-dependent economy: The case of the Central Bank of Chile -- Chapter 18. Dynamic Strategic Asset Allocation at the National Bank of Belgium: Why and how to implement it in a central bank -- Chapter 19. Central Bank of Lithuania: Asset allocation in a risk parity framework -- Chapter 20. Good Governance: Principles, Pitfalls and Best Practice -- Chapter 21. Central Bank of Brazil: Investment decision-making in an integrated risk management framework -- Chapter 22. Governance, Risk Management, Reporting, and Control at the Central Bank of Columbia -- Chapter 23. Foreign exchange reserves at the National Bank of Poland: Adequacy, risk-budgets, tranching and financial implications -- Chapter 24. Central Banks as Bankers to Each Other: Overview, Trends, and Future Directions in Global Official Sector Service Provision -- Chapter 25. Modern central bank reserves management: Introduction and overview -- Chapter 26. Bank of Israel: Integrating equities into the foreign exchange reserves -- Chapter 27. Renminbi securities in portfolios of official institutions: A perspective from the Hong Kong Monetary Authority -- Chapter 28. Responsible Investment and central bank asset management -- Chapter 29. BlackRock: Reserves Management with Factors and Reference Portfolios. … (more)
- Publisher Details:
- Cham, Switzerland : Springer
- Publication Date:
- 2020
- Extent:
- 1 online resource, illustrations (some color)
- Subjects:
- 332.45
Foreign exchange reserves -- Management
Banks and banking, Central
Bank reserves -- Management
Risk management
Banks and banking, Central
Risk management
Electronic books - Languages:
- English
- ISBNs:
- 9783030434571
3030434575 - Related ISBNs:
- 3030434567
9783030434564 - Notes:
- Note: Description based on online resource; title from digital title page (viewed on October 28, 2020).
- Access Rights:
- Legal Deposit; Only available on premises controlled by the deposit library and to one user at any one time; The Legal Deposit Libraries (Non-Print Works) Regulations (UK).
- Access Usage:
- Restricted: Printing from this resource is governed by The Legal Deposit Libraries (Non-Print Works) Regulations (UK) and UK copyright law currently in force.
- View Content:
- Available online (eLD content is only available in our Reading Rooms) ↗
- Physical Locations:
- British Library HMNTS - ELD.DS.550521
- Ingest File:
- 03_167.xml