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Adapting to Market Risk in the New Basel 3.1 Framework #S3E2

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Manage episode 399334312 series 3009515
Indhold leveret af VERMEG. Alt podcastindhold inklusive episoder, grafik og podcastbeskrivelser uploades og leveres direkte af VERMEG eller deres podcastplatformspartner. Hvis du mener, at nogen bruger dit ophavsretligt beskyttede værk uden din tilladelse, kan du følge processen beskrevet her https://da.player.fm/legal.

Welcome to FinTalk, the leading podcast in financial services that addresses the most pressing topics in the banking and regulatory reporting industry.

In this episode, our host Jawad Akhtar is joined by renowned industry expert Enrico. Together, they delve into the nuances of the PRA's release of the near-final Basel rules and the implications for financial institutions.

This episode of FinTalk covers:

  • The PRA's approach to Basel implementation and the potential for last-minute changes.
  • The distinction between the Internal Model Approach and the Standardized Approach for market risk.
  • The explosion of detail in the EU's regulatory technical standards and what it means for reporting.
  • A pragmatic look at the trajectory of regulatory reporting and data quality.
  continue reading

37 episoder

Artwork
iconDel
 
Manage episode 399334312 series 3009515
Indhold leveret af VERMEG. Alt podcastindhold inklusive episoder, grafik og podcastbeskrivelser uploades og leveres direkte af VERMEG eller deres podcastplatformspartner. Hvis du mener, at nogen bruger dit ophavsretligt beskyttede værk uden din tilladelse, kan du følge processen beskrevet her https://da.player.fm/legal.

Welcome to FinTalk, the leading podcast in financial services that addresses the most pressing topics in the banking and regulatory reporting industry.

In this episode, our host Jawad Akhtar is joined by renowned industry expert Enrico. Together, they delve into the nuances of the PRA's release of the near-final Basel rules and the implications for financial institutions.

This episode of FinTalk covers:

  • The PRA's approach to Basel implementation and the potential for last-minute changes.
  • The distinction between the Internal Model Approach and the Standardized Approach for market risk.
  • The explosion of detail in the EU's regulatory technical standards and what it means for reporting.
  • A pragmatic look at the trajectory of regulatory reporting and data quality.
  continue reading

37 episoder

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