Publications & Presentations

Below we provide a listing of our publications and presentations, with links where available.

Recent Publications

Balancing Qualitative and Quantitative Analysis in Interest Rate Risk Management
Bank Asset/Liability Management (Vol. 26, No. 9)
Date: September 2010
Examiners Taking Hard Look at ALLL Methodologies and Assumptions
http://www.fincriadvisor.com/
Date: June 2009
Covered Bonds: The Basics of a Potential, New Funding Option for Community Banks
Sheshunoff Banker's Economic & Investment ALERT (Vol. 17, No. 1)
Date: January 2009
Asset/Liability Management in a Transitional Environment: The Changing Complexion of Funding - An Update
Bank Asset/Liability Management (Vol. 24, No. 12)
Date: December 2008
A Call for Strategic Risk Management
Sheshunoff Banker's Economic & Investment ALERT (Vol. 16, No. 11)
Date: November 2008

Recent Presentations

The Changing Face of Mortgage Lending
2011 Finance & Accounting Forum for Financial Institutions
Date: June 2011
EVE/NEV Issues and Calculations
Financial Management Society, Phila Chapter 2011 All Day Seminar
Date: April 2011
Post—Financial Crisis, Market and Liquidity Risk Management
Financial Management Society 2010 East Coast Regional Conference
Date: September 2010
Post—Financial Crisis, Market Risk Management
2010 ZMFS Conference
Date: September 2010
How to Recognize and Determine if Risk is Being Optimized
Pennsylvania Association of Community Bankers 2008 Education Series
Date: October 2008

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