Gap Analysis: Asset and Liability Management at a Bank

Authors

  • Dr. Anju Garg Head and Associate Professor, Department of Economics, DAV College, Bulandshahr, UP

DOI:

https://doi.org/10.26703/jct.v16i1.32

Keywords:

Gap Analysis, NPV, RSL, RSA

Abstract


Market risk-the risk that a sudden change in market prices could affect earnings or capital-can be difficult to measure, but that doesn't make it any less important. One way of capturing a bank's exposure to changing interest rates is Gap Analysis. Gap analysis has largely fallen out of use. Today, gap analysis is most useful as a theoretical tool for communicating issues related to interest rate and liquidity risk. This paper seeks to know about the 'Gap Analysis' and to assess and examine the asset and liability management in a hypothetical bank. The study is entirely based on the availability and utilization of secondary data and literature. The secondary data have been collected from the various published sources such as articles published in distinguished Journals, leading Newspapers, published Financial Reports of RBI and other Banks, Five Year Plans and other reputed books related to Financial Management.

Downloads

Download data is not yet available.

Metrics

Metrics Loading ...

References

Rouah, F. B., Vainberg G. (2007).Option Pricing Models & Volatility. New Jersey: John Wiley & Sons

Bookstaber, Richard (2008).Demon of Our Own Design. New Jersey: Wiley.

Back, K. (2005). A Course in Derivative Securities. Berlin: Springer.

O' Brien, Justin (2006). Redesigning Financial Regulation. New Jersey: Wiley.

Marrison, Christopher (2002). The Fundamental of Risk Management. McGraw Hill Education.

Dineen, Sean (2013). Probability Theory in Finance. United States: American Mathematical Society.

Kumar, Ravi T. (2014).Asset-Liability Management. Delhi: Vision Books.

Zenios, S. A. , Ziemba, W. T. (2006). Handbook of Assets and Liability Management. North Holland Publishers.

Additional Files

Published

01-05-2021

How to Cite

Garg, A. (2021). Gap Analysis: Asset and Liability Management at a Bank. Journal of Commerce and Trade, 16(1), 14–17. https://doi.org/10.26703/jct.v16i1.32

Issue

Section

Research Paper