BANKING
ALM
Management of balance-sheet exposures arising from the timing and behavior of assets and liabilities.
What does it stand for?
Asset-Liability Management
What it means
Management of balance-sheet exposures arising from the timing and behavior of assets and liabilities.
How to interpret it
This concept should be read together with its market convention, measurement horizon and underlying instrument. BondStats presents it as an analytical reference rather than investment advice; instrument documentation and primary market rules remain authoritative.
Related Acronyms
BondStats reference content is independently written. Mathematical relationships, abbreviations and market conventions are presented for educational and analytical use.