版權(quán)說(shuō)明:本文檔由用戶(hù)提供并上傳,收益歸屬內(nèi)容提供方,若內(nèi)容存在侵權(quán),請(qǐng)進(jìn)行舉報(bào)或認(rèn)領(lǐng)
文檔簡(jiǎn)介
Chapter10LiquidityandReserveManagementStrategiesandPolicies銀行的流動(dòng)性和準(zhǔn)備金管理LiquidityandReserveManagementStrategiesandPolicies
流動(dòng)性和準(zhǔn)備金管理§1.LiquidityManagement流動(dòng)性管理1、DemandsforandSuppliesofLiquidity流動(dòng)性的供求2、StrategiesforLiquidityManagement流動(dòng)性管理的策略§2.EstimatingaBank’sLiquidityNeeds計(jì)算銀行的流動(dòng)性需求§3.法定準(zhǔn)備金和貨幣頭寸管理§1.LiquidityManagement
流動(dòng)性管理TheAvailabilityofCashintheAmountandattheTimeNeededataReasonableCost銀行在需要資金時(shí),可用合理的成本獲取足夠的資金來(lái)源ABank’sNetLiquidityPosition(Lt)
銀行凈流動(dòng)性頭寸=SuppliesofLiquidity流動(dòng)性供給-
DemandsforLiquidity流動(dòng)性需求1、DemandsforandSuppliesofLiquidity
流動(dòng)性的供求SuppliesofLiquidFunds
流動(dòng)資金的供給IncomingCustomerDeposits吸收客戶(hù)存款RevenuesfromtheSaleofNondepositServices提供非存款服務(wù)獲取的收益CustomerLoanRepayments客戶(hù)貸款的償還SalesofBankAssets銀行資產(chǎn)的出售BorrowingsfromtheMoneyMarket從貨幣市場(chǎng)借款DemandsforBankLiquidity
銀行流動(dòng)性需求CustomerDepositWithdrawals存款人提款CreditRequestsfromQualityLoanCustomers向合格的客戶(hù)提供貸款RepaymentofNondepositBorrowings借款的償還OperatingExpensesandTaxes營(yíng)業(yè)費(fèi)用和交稅PaymentofStockholderDividends向股東支付紅利Lt>0Supplies>DemandsliquiditysurplusLt<0
Supplies<DemandsLiquiditydeficitDemandsforandSuppliesofLiquidity2、StrategiesforLiquidityManagement
流動(dòng)性管理的策略AssetliquidityManagementStrategy資產(chǎn)流動(dòng)性管理的策略—orAssetConversionStrategy資產(chǎn)轉(zhuǎn)換策略BorrowedLiquidityManagementStrategy借入流動(dòng)性管理的策略orLiabilityManagementStrategy負(fù)債流動(dòng)性管理的策略BalancedLiquidityManagementStrategy資產(chǎn)負(fù)債流動(dòng)性管理—orAssetandLiabilityManagementStrategyAssetLiquidityManagement
資產(chǎn)流動(dòng)性管理CallsforStoringLiquidityintheFormofLiquidAssetsandSellingThemWhenLiquidityisNeeded要求銀行保持足夠的流動(dòng)性資產(chǎn),在需要資金時(shí)將資產(chǎn)出售,以滿(mǎn)足流動(dòng)性需求LiquidAsset
流動(dòng)性資產(chǎn)HaveaReadyMarket必須有一個(gè)市場(chǎng)HaveaReasonablyStablePrice必須有合理穩(wěn)定的價(jià)格Reversible可轉(zhuǎn)換BorrowedLiquidityManagement
負(fù)債流動(dòng)性管理CallsfortheBanktoPurchaseorBorrowfromtheMoneyMarketToCoverAllofItsLiquidityNeeds銀行可從貨幣市場(chǎng)借入資金,以滿(mǎn)足流動(dòng)性需求SourcesofBorrowedFunds
借入資金的來(lái)源FederalFundsPurchased聯(lián)邦基金借款RepurchaseAgreement(Repos)再回購(gòu)協(xié)議IssuingLargeCDs(﹥$100,000)發(fā)行大額可轉(zhuǎn)讓定期存單IssuingEurocurrencyDeposits發(fā)行歐洲貨幣存款BorrowingReservesfromtheFed從聯(lián)邦儲(chǔ)備銀行借入準(zhǔn)備金B(yǎng)alancedLiquidityManagementStrategy
資產(chǎn)負(fù)債流動(dòng)性管理CombinedUseofAssetLiquidityManagementandLiabilityLiquidityManagementtoMeetaBank’sLiquidityNeeds把資產(chǎn)流動(dòng)性管理和負(fù)債流動(dòng)性管理結(jié)合起來(lái)使用,以滿(mǎn)足銀行的流動(dòng)性需求§2.EstimatingaBank’sLiquidityNeeds
計(jì)算銀行的流動(dòng)性需求1、SourcesandUsesofFundsApproach資金來(lái)源和運(yùn)用法2、StructureofFundsApproach資金結(jié)構(gòu)法3、UsingProbabilitytoDecideLiquidityRequirement概率法4、LiquidityIndicatorApproach流動(dòng)性指標(biāo)法
1、SourcesandUsesofFundsApproach
資金來(lái)源和運(yùn)用法
Liquiditygap=sources(LS)-uses(LU)deposits↑deposits↓loans↓loans↑Liquiditygap>0,liquiditysurplus<0,liquiditydeficit1、SourcesandUsesofFundsApproach資金來(lái)源和運(yùn)用法—KeySteps關(guān)鍵步驟ForecastLoansandDepositsforPlanningPeriod預(yù)測(cè)計(jì)劃期存貸款Componentsoffuturedepositsandloans:Trend,SeasonalandCyclical未來(lái)存貸款的構(gòu)成:趨勢(shì)、季節(jié)和周期EstimateChangesinLoansandDepositsfortheSamePeriod計(jì)算同一時(shí)期存貸款的變化Changesindepositsisfunctionof[personalincome,retailsales,Ms,inflationrate]存款變化是個(gè)人收入、零售額、貨幣供應(yīng)量和通貨膨脹率的函數(shù)Changesinloansisfunctionof[growthineconomyorbusinesssales,corporationearnings,Ms,inflationrate]貸款變化是經(jīng)濟(jì)增長(zhǎng)或企業(yè)銷(xiāo)售、公司盈利、貨幣供應(yīng)量和通貨膨脹率的函數(shù)EstimateNetLiquidityposition計(jì)算凈流動(dòng)性頭寸流動(dòng)性缺口=存款變化-貸款變化2、StructureofFundsApproach
資金結(jié)構(gòu)法KeyStepsABank’sSourcesofFundsDividedInto3Categories銀行資金來(lái)源有三類(lèi)‘HotMoney’(very
sensitiveliabilities)游資(利率敏感性極強(qiáng))VulnerableFunds(25or30%)脆弱性資金StableFunds(coredepositsorliabilities)穩(wěn)定性資金SetAsideLiquidFundsAccordingtoOperatingRule按照規(guī)定留出流動(dòng)性資金Estimatethedifferencebetweenactualandpotentialloansandstoreliquidity(100%)計(jì)算現(xiàn)有貸款和潛在貸款的差額,留出100%的流動(dòng)性資金Calculatetotalliquidityrequirement計(jì)算總的流動(dòng)性需要量
SetAsideLiquidFundsAccordingtoOperating‘HotMoney’(95%)VulnerableFunds(30%)StableFunds(15%)
Calculatetotalliquidityrequirement
Totalliquidityrequirementforabank=Depositandnondepositliabilityliquidityrequirement+Assetliquidityrequirement=0.95×(HotMoney-legalreservesheld)+0.3×(VulnerableFunds
-legalreservesheld)+0.15×(StableFunds
-legalreservesheld)+1×(potentialloans-actualloans)(Exhibit11—4)3、UsingProbabilitytoDecideLiquidityRequirementTheworstpossibleliquidityposition(Deficit)Depositgrowth<ExpectationLoangrowth>ExpectationThebestpossibleliquidityposition(Surplus)Depositgrowth>ExpectationLoangrowth<ExpectationUsingProbabilitytoDecideLiquidityRequirementExpectedLiquidityRequirementwithhighestProbability=ProbabilityofASurplusorDeficitofA+ProbabilityofBSurplusorDeficitofB+……………=0.15$60mil.+0.6$10mil.+0.25(-$20mil.)=$10mil.CustomerRelationshipDoctrine
客戶(hù)關(guān)系理論Managementshouldstrivetomeetallgoodloansthatwalkinthedoorinordertobuildlastingcustomerrelationships銀行管理者必須滿(mǎn)足所有合格申請(qǐng)人的貸款請(qǐng)求,已建立持久的客戶(hù)關(guān)系3、LiquidityIndicatorApproach
流動(dòng)性指標(biāo)法
Estimateliquidityneedsbasedonexperienceandindustryaverages①CashPosition=Cashanddepositsduefromotherbank/totalassets↑↑↓②LiquidSecurity=T-securities/totalassets↑↑↓③NetFederalFundsPosition=(FFsold-FFpurchased)/totalassets↑↑↓④CapacityRatio=Netloansandleases/totalassets↑↓↑⑤PledgingSecuritiesRatio=PledgingSecurities/totalSecurities↑↓↑3、LiquidityIndicatorApproach流動(dòng)性指標(biāo)法
⑥HotMoneyRatio=Moneymarketassets/moneymarketliabilities↑↑↓⑦Short-termInvestmentstoSensitiveLiabilitiesRatio=S-Investments/S-Liabilities↑↑↓⑧DepositBrokerageIndex=Brokereddeposits/totaldeposits↑↓⑨CoreDepositRatio=CoreDeposits/totalassets↑↓⑩DepositCompositionRatio=Demanddeposits/timedeposits↑↑
LegalReserve法定準(zhǔn)備金Depositsheldinareserveaccountatthecentralbank存在中央銀行的準(zhǔn)備金存款§3.MoneyPositionManagement貨幣頭寸管理LegalReserveCalculation法定準(zhǔn)備金的計(jì)算ReserveComputationPeriod準(zhǔn)備金的計(jì)算期TimeperiodoverwhichabankcalculatesitslegalreserverequirementReserveMaintenancePeriod準(zhǔn)備金的持有期ThetimeperiodofoverwhichabankmustholdtherequiredamountoflegalreservesthatthelawdemandsCalculatingandMaintainingRequireLegalReserves計(jì)算和持有法定準(zhǔn)備金
TWThFSSuMTWThFSSuMTWThFSSuMTWThFSSuMTW
ReserveComputationPeriodReserveMaintenancePeriod
CalculatingRequireLegalReserves
TotalRequireLegalReserves法定準(zhǔn)備金總額
=Reserverequirementontransactiondeposits交易性存款RR×Dailyaverageamountofnettransactiondepos
溫馨提示
- 1. 本站所有資源如無(wú)特殊說(shuō)明,都需要本地電腦安裝OFFICE2007和PDF閱讀器。圖紙軟件為CAD,CAXA,PROE,UG,SolidWorks等.壓縮文件請(qǐng)下載最新的WinRAR軟件解壓。
- 2. 本站的文檔不包含任何第三方提供的附件圖紙等,如果需要附件,請(qǐng)聯(lián)系上傳者。文件的所有權(quán)益歸上傳用戶(hù)所有。
- 3. 本站RAR壓縮包中若帶圖紙,網(wǎng)頁(yè)內(nèi)容里面會(huì)有圖紙預(yù)覽,若沒(méi)有圖紙預(yù)覽就沒(méi)有圖紙。
- 4. 未經(jīng)權(quán)益所有人同意不得將文件中的內(nèi)容挪作商業(yè)或盈利用途。
- 5. 人人文庫(kù)網(wǎng)僅提供信息存儲(chǔ)空間,僅對(duì)用戶(hù)上傳內(nèi)容的表現(xiàn)方式做保護(hù)處理,對(duì)用戶(hù)上傳分享的文檔內(nèi)容本身不做任何修改或編輯,并不能對(duì)任何下載內(nèi)容負(fù)責(zé)。
- 6. 下載文件中如有侵權(quán)或不適當(dāng)內(nèi)容,請(qǐng)與我們聯(lián)系,我們立即糾正。
- 7. 本站不保證下載資源的準(zhǔn)確性、安全性和完整性, 同時(shí)也不承擔(dān)用戶(hù)因使用這些下載資源對(duì)自己和他人造成任何形式的傷害或損失。
最新文檔
- 細(xì)胞凋亡與骨關(guān)節(jié)炎
- 基于設(shè)計(jì)思維教學(xué)法的小學(xué)語(yǔ)文項(xiàng)目式學(xué)習(xí)理念與實(shí)踐模型
- 護(hù)理碩士研究生心理資本潛在剖面分析及與情緒幸福感的關(guān)系
- 國(guó)際志愿者日活動(dòng)策劃
- 湖南省張家界市桑植縣2024-2025學(xué)年七年級(jí)上學(xué)期道德與法治期末試卷(含答案)
- 第十八章 平行四邊形 評(píng)估測(cè)試卷(含答案)2024-2025學(xué)年數(shù)學(xué)人教版八年級(jí)下冊(cè)
- 二零二五年度房產(chǎn)共同債權(quán)債務(wù)處理離婚協(xié)議3篇
- 貴州盛華職業(yè)學(xué)院《影視欄目包裝專(zhuān)題設(shè)計(jì)》2023-2024學(xué)年第一學(xué)期期末試卷
- 貴州黔南科技學(xué)院《設(shè)計(jì)原理》2023-2024學(xué)年第一學(xué)期期末試卷
- 新疆巴音郭楞蒙古自治州(2024年-2025年小學(xué)六年級(jí)語(yǔ)文)人教版課后作業(yè)(下學(xué)期)試卷及答案
- 英法核動(dòng)力裝置
- GB/T 41837-2022溫泉服務(wù)溫泉水質(zhì)要求
- YS/T 79-2006硬質(zhì)合金焊接刀片
- 考研考博-英語(yǔ)-山東師范大學(xué)押題密卷附帶答案詳解篇
- 實(shí)用性閱讀與交流任務(wù)群設(shè)計(jì)思路與教學(xué)建議
- 中醫(yī)診療器具清洗消毒(醫(yī)院感染防控專(zhuān)家課堂培訓(xùn)課件)
- 通風(fēng)設(shè)施標(biāo)準(zhǔn)
- 藥廠生產(chǎn)車(chē)間現(xiàn)場(chǎng)管理-PPT課件
- 軸與孔標(biāo)準(zhǔn)公差表
- 防火門(mén)施工方案
- 人教PEP版2022-2023六年級(jí)英語(yǔ)上冊(cè)期末試卷及答案(含聽(tīng)力材料)
評(píng)論
0/150
提交評(píng)論