Difference between revisions of "Template:Basel II"
Jump to navigation
Jump to search
imported>Frietjes |
imported>Frietjes |
||
| Line 9: | Line 9: | ||
| content1 = | | content1 = | ||
* [[Bank for International Settlements]] | * [[Bank for International Settlements]] | ||
| − | |||
* [[Basel Accords]] ([[Basel I]], [[Basel II]], [[Basel III]]) | * [[Basel Accords]] ([[Basel I]], [[Basel II]], [[Basel III]]) | ||
| − | |||
* [[Financial Stability Board]] | * [[Financial Stability Board]] | ||
| Line 17: | Line 15: | ||
| content2 = | | content2 = | ||
* [[Banking]] ([[Bank regulation|Regulation]]) | * [[Banking]] ([[Bank regulation|Regulation]]) | ||
| − | |||
* [[Monetary policy]] | * [[Monetary policy]] | ||
* [[Central bank]] | * [[Central bank]] | ||
| − | |||
* [[Risk]] | * [[Risk]] | ||
* [[Risk management]] | * [[Risk management]] | ||
| − | |||
* [[Regulatory capital]] | * [[Regulatory capital]] | ||
* [[Tier 1 capital | Tier 1]] | * [[Tier 1 capital | Tier 1]] | ||
| Line 31: | Line 26: | ||
| content3 = | | content3 = | ||
* [[Credit risk]] | * [[Credit risk]] | ||
| − | |||
* [[Standardized approach (credit risk)|Standardized]] | * [[Standardized approach (credit risk)|Standardized]] | ||
* [[Internal Ratings-Based Approach (Credit Risk) | IRB Approach]] | * [[Internal Ratings-Based Approach (Credit Risk) | IRB Approach]] | ||
| − | |||
* [[Foundation IRB |F-IRB]] | * [[Foundation IRB |F-IRB]] | ||
* [[Advanced IRB | A-IRB]] | * [[Advanced IRB | A-IRB]] | ||
| Line 40: | Line 33: | ||
* [[Loss given default|LGD]] | * [[Loss given default|LGD]] | ||
* [[Exposure at default|EAD]] | * [[Exposure at default|EAD]] | ||
| − | |||
* [[Operational risk]] | * [[Operational risk]] | ||
* [[Basic indicator approach|Basic]] | * [[Basic indicator approach|Basic]] | ||
* [[Standardized approach (operational risk)|Standardized]] | * [[Standardized approach (operational risk)|Standardized]] | ||
* [[Advanced measurement approach | AMA]] | * [[Advanced measurement approach | AMA]] | ||
| − | |||
* [[Market risk]] | * [[Market risk]] | ||
* [[Bond duration|Duration]] | * [[Bond duration|Duration]] | ||
Revision as of 14:02, 15 July 2017
| Bank regulation and standards |
|---|
| Background |
| Pillar 1: Regulatory capital |
| Pillar 2: Supervisory review |
| Pillar 3: Market disclosure |
| Business and Economics Portal |