Key Banking System Risks In The

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The gradual alignment of prudential regulations on Basel II/III standards since 2018, as well as improvements in banking supervision and macroprudential surveillance, have contributed to the WAEMU’s banking system’s resilience to recent global and regional shocks. However, while cyclical vulnerabilities have been contained, bank credit portfolios remain highly concentrated, and their exposure to sovereign risks has grown substantially in recent years, together with liquidity risks. Further reforms building on those recently implemented in line with recommendations from the 2022 Financial Sector Assessment Program (FSAP), including to enhance macroprudential policy’s effectiveness and banking supervision frameworks, will help address such vulnerabilities.

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Genre : Business & Economics
Author : Knarik Ayvazyan
Publisher : International Monetary Fund
Release : 2024-05-17
File : 31 Pages
ISBN-13 : 9798400275142


Risk Management Strategic Thinking And Leadership In The Financial Services Industry

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This book presents a broad overview of risk management in the banking industry, with a special focus on strategic thinking and decision-making. It reveals the broader context behind decision models and approaches to risk management in the financial industry, linking the regulatory landscape for capital management and risk to strategic thinking, together with behavioral and cultural assessments.

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Genre : Business & Economics
Author : Hasan Dinçer
Publisher : Springer
Release : 2016-12-19
File : 380 Pages
ISBN-13 : 9783319471723


Academic Foundation S Bulletin On Money Banking And Finance Volume 77 Analysis Reports Policy Documents

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Genre :
Author : Editor : Sona Kapila
Publisher : Academic Foundation
Release : 2006
File : 246 Pages
ISBN-13 : 8171885683


Handbook Of Global Financial Markets Transformations Dependence And Risk Spillovers

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The objective of this handbook is to provide the readers with insights about current dynamics and future potential transformations of global financial markets. We intend to focus on four main areas: Dynamics of Financial Markets; Financial Uncertainty and Volatility; Market Linkages and Spillover Effects; and Extreme Events and Financial Transformations and address the following critical issues, but not limited to: market integration and its implications; crisis risk assessment and contagion effects; financial uncertainty and volatility; role of emerging financial markets in the global economy; role of complex dynamics of economic and financial systems; market linkages, asset valuation and risk management; exchange rate volatility and firm-level exposure; financial effects of economic, political and social risks; link between financial development and economic growth; country risks; and sovereign debt markets.

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Genre : Business & Economics
Author : Sabri Boubaker
Publisher : World Scientific
Release : 2019-06-27
File : 828 Pages
ISBN-13 : 9789813236660


Staff Guidance Note On Macroprudential Policy

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This note provides guidance to facilitate the staff’s advice on macroprudential policy in Fund surveillance. It elaborates on the principles set out in the “Key Aspects of Macroprudential Policy,” taking into account the work of international standard setters as well as the evolving country experience with macroprudential policy. The main note is accompanied by supplements offering Detailed Guidance on Instruments and Considerations for Low Income Countries

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Genre : Business & Economics
Author : International Monetary Fund
Publisher : International Monetary Fund
Release : 2014-06-11
File : 45 Pages
ISBN-13 : 9781498342629


2023 Culture Conduct Risk In The Banking Sector

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The Compendium is a publication of Starling Insights, a membership-based platform that is a resource for and by the community of leaders, experts, and practitioners working to bring new ideas and tools to the governance and supervision of cultural, behavioral, and other nonfinancial risks and performance outcomes. Readers will find discussion throughout this report, in articles by and interviews with dozens of contributors, among them: regulators, supervisors, central bankers and policymakers; standard setting bodies and industry associations; industry executives and peers from other sectors; prominent legal thinkers and practicing attorneys; as well as renowned scholars from various disciplines. We are humbled by their continued collective generosity and hope that our 2023 Compendium is found to be as valuable to readers as its predecessors.

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Genre : Business & Economics
Author : Stephen Scott
Publisher : Starling Insights, Inc.
Release : 2023-06-07
File : 446 Pages
ISBN-13 : 9798985922011


Systemic Risk In The Financial Sector

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In late 2008, the world's financial system was teetering on the brink of systemic collapse. While the impacts of the global financial crisis would be felt immediately, at every level of the economy, it would also send years-long aftershocks through investment, banking and regulatory circles worldwide. More than a decade after the worst year of the global financial crisis, what has been learned from its harsh lessons? Are governments and regulators more prepared for another financial system failure that would significantly affect the real economy? What may be the potential triggers for such a collapse to occur in the future? Systemic Risk in the Financial Sector: Ten Years after the Great Crash draws on some of the world's leading experts on financial stability and regulation to examine and critique the progress made since 2008 in addressing systemic risk. The book covers topics such as central banks and macroprudential policies; fintech; regulators' perspectives from the United States and the European Union; the logistical and incentive challenges that impede standardization and collection; clearing houses and systemic risk; optimal resolution and bail-in tools; and bank leverage, welfare and regulation. Drawing on experts across disciplines — including Howell Jackson, John Geanakoplos, Charles Goodhart, Anat Admati, Roberta Romano and Martin Hellwig — Systemic Risk in the Financial Sector is the definitive guide to understanding the global financial crisis, the safeguards being put into place to try to avoid similar crises in the future, and the limitations of those safeguards.

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Genre : Political Science
Author : Douglas W. Arner
Publisher : McGill-Queen's Press - MQUP
Release : 2019-10-02
File : 301 Pages
ISBN-13 : 9781928096917


External Debt Statistics

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The External Debt Statistics: Guide for Compilers and Users (EDS Guide) contains updated global standards for the compilation, reporting, and analytical use of external debt statistics. The 2013 EDS Guide was prepared under the responsibility of the nine organizations in the Inter-Agency Task Force on Finance Statistics, in close consultation with national compilers of external debt, balance of payments, and international investment position statistics, and reflects the significant developments in international finance since the issuance of the 2003 EDS Guide. The new edition provides guidance on the concepts, definitions, and classifications of external debt data; the sources and techniques for compiling these data; and the analytical uses of these data.

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Genre : Business & Economics
Author : International Monetary Fund. Statistics Dept.
Publisher : International Monetary Fund
Release : 2014-06-18
File : 351 Pages
ISBN-13 : 9781484348970


West African Economic And Monetary Union

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The WAEMU has seen strong growth and rising living standards over the past decade. Economic growth averaged 5.4 percent in 2013-2019 and 5.8 percent in 2021-2023. Policy efforts from regional and national authorities have cushioned the impact of several external and internal shocks, prompting a solid economic recovery since the COVID-19 pandemic, despite increasing security issues. Meanwhile, the Human Development Index has increased from 0.44 in 2013 to 0.48 in 2021.

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Genre : Business & Economics
Author : International Monetary Fund. African Dept.
Publisher : International Monetary Fund
Release : 2024-04-17
File : 72 Pages
ISBN-13 : 9798400274787


The Banking Sector Under Financial Stability

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The Banking Sector Under Financial Stability recognises the critical importance of the banking sector with respect to financial stability risks, and considers the unique position of banks which by nature assume higher risks, existing within a low equity to total assets ratio.

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Genre : Business & Economics
Author : Indranarain Ramlall
Publisher : Emerald Group Publishing
Release : 2018-12-14
File : 256 Pages
ISBN-13 : 9781787696815