5. Liquidity Risk Management Strategies and Tactics

  1. Leonard Matz and
  2. Peter Neu
  1. Leonard Matz and
  2. Peter Neu

Published Online: 20 MAR 2012

DOI: 10.1002/9781118390399.ch5

Liquidity Risk Measurement and Management: A practitioner's guide to global best practices

Liquidity Risk Measurement and Management: A practitioner's guide to global best practices

How to Cite

Matz, L. and Neu, P. (2006) Liquidity Risk Management Strategies and Tactics, in Liquidity Risk Measurement and Management: A practitioner's guide to global best practices (eds L. Matz and P. Neu), John Wiley & Sons (Asia) Pte Ltd, 2 Clementi Loop, #02-01, Singapore 129809. doi: 10.1002/9781118390399.ch5

Publication History

  1. Published Online: 20 MAR 2012
  2. Published Print: 27 OCT 2006

ISBN Information

Print ISBN: 9780470821824

Online ISBN: 9781118390399

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Keywords:

  • liquidity risk management strategy;
  • liquidity sources;
  • liquidity reserves;
  • borrowed funds;
  • financial services industry

Summary

This chapter contains sections titled:

  • The Three Major Categories of Liquidity Sources

  • Overview of Liquidity Sources

  • Liquidity Risk in Different Sectors of the Financial Services Industry

  • Liquidity Risk Management Strategies, Tactics and Procedures

  • Intra-Day Liquidity Risk Management

  • A Liquidity Management Process

  • Conclusion: Liquidity Risk Management is a Three-Legged Stool