Gap analysis: asset and liability management at a bank

HIGHLIGHTS

  • who: RH from the Department of Economics, DAV College, Bulandshahr (UP), India have published the paper: Gap Analysis: Asset and Liability Management at a Bank, in the Journal: (JOURNAL)
  • what: We have discussed the use of gap analysis for assessing interest rate risk.

SUMMARY

    One way of capturing a bank's exposure to changing interest rates is Gap Analysis. Although not as sophisticated as some other tools for measuring interest rate risk, Gap allows you get a quick and intuitive sense of how a bank is positioned by comparing the values . . .

     

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