Resolution of Stressed Assets with Special Emphasis on Insolvency & Bankruptcy Code, 2016 – for Bankers is a comprehensive and practice-oriented guide tailored specifically for banking professionals involved in credit monitoring, recovery, and insolvency resolution. The book provides an in-depth understanding of stressed asset management, with a special focus on the Insolvency & Bankruptcy Code, 2016 as the primary legal mechanism for recovery and resolution. It covers identification of stressed assets, early warning signals, classification of NPAs, and available resolution mechanisms including restructuring, asset reconstruction, and insolvency proceedings. Detailed chapters explain the Corporate Insolvency Resolution Process (CIRP), role of creditors, committee of creditors (CoC), resolution plans, liquidation, and recent judicial developments affecting banks. Written in a practical and accessible manner, the book includes procedural guidance, timelines, regulatory insights, and real-world banking perspectives. It equips bankers with the knowledge required to take informed decisions, manage legal risks, and ensure compliance with RBI and IBC frameworks. This book is an indispensable resource for professionals dealing with stressed assets in banks and financial institutions.







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