Banker's Investment Guide Series: Bank Investment Portfolio Management

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9781558271708: Banker's Investment Guide Series: Bank Investment Portfolio Management

The more difficult the investment climate, the more you need reliable tools to help you manage volatility and evaluate risks and returns. Know exactly what you're buying and how it fits in your investment portfolio management strategy. Determine before you buy whether the investment is permitted under current accounting and regulatory rules. Understand specific instruments and how to make the most of them. Lots of practical, real-world examples illustrate how to use these instruments, how to account for them, and how to make sure you're staying in compliance with all the FASB requirements.

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About the Author:

Leonard Matz is an author, bank consultant, licensed investment consultant, and bank trainer. He had a 20-year career in banking that included responsibility for managing deposit and investment accounts, cash management, and loans. Mr. Matz is the author of other Sheshunoff products, including Liquidity Risk Management, Self-Paced Asset/Liability Training, and numerous magazine and journal articles. He has lectured at the Graduate School of Banking in Madison, Wisconsin, and has been a member of the National Asset/Liability Management Association since 1989.

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