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Beyond Bank Runs: How Bank Liquidity Risks Shape Financial Stability

CFA Institute

For financial analysts, understanding bank liquidity risks is essential not just for assessing individual banks but also for evaluating broader market conditions.

Banking 52
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Deep Dive: How Banks Can Monitor APIs To Gain Performance Insights

PYMNTS

The role application programming interfaces (APIs) play in allowing financial institutions (FIs) and FinTechs to cooperate on banking products without worrying about interoperability between systems is crucial. It is thus no wonder that 78 percent of banks are already leveraging APIs to do so. Advantages of API monitoring.

Banking 60
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RBI keeping close watch on top 20 conglomerates

CFO News

The RBI, also the banking sector regulator, is closely monitoring profitability and other financial performance measures of these conglomerates and their companies besides parameters such as the quantum of debt raised from other sources like external commercial borrowings or bonds for any signs of stress.

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Rethinking Corporate FX Hedging: Seeing the Forest through the Trees

CFA Institute

With 20 years of experience in international banking, Mohammad Ali Shaikh, CFA, is currently working on setting up a macro fund through Ilqa Investments, a firm he co-founded. He is a graduate of McGill University, where he majored in finance, and holds an executive MBA from INSEAD.

Banking 52
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Climbing the Ladder in Finance: The PIE Framework for Investment Professionals

CFA Institute

He has more than two million followers on LinkedIn and previously served as managing director at UBS Investment Bank and adjunct associate professor of finance at Hong Kong University of Science and Technology. Eric Sim, CFA, is the author of the book Small Actions: Leading Your Career to Big Success.

Finance 52
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When Hindsight Becomes Foresight: Replicating Investment Performance

CFA Institute

He started his career working for Citigroup in investment banking in London and New York. Previously, Rabener worked at GIC (Government of Singapore Investment Corporation) focused on real estate across asset classes.

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Monte Carlo Simulations: Forecasting Folly?

CFA Institute

He started his career working for Citigroup in investment banking in London and New York. Previously, Rabener worked at GIC (Government of Singapore Investment Corporation) focused on real estate across asset classes.