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From Open Risk Manual
- ...that ''risk is the effect of uncertainty on objectives''. In simple terms, Risk denotes the potential for developments (future states of the world) that ta ...al person) or a [[Legal Entity]]. This highlights the subjective nature of risk (it is defined from the point of view of a specific entity). ...3 KB (440 words) - 15:16, 21 May 2024
- ...tices or behaviors that aim to identify, measure and mitigate the [[Energy Risk]] faced by an individual or an organization. ...ective is to reduce risks to an acceptable level (formally termed [[Energy Risk Appetite]]). ...3 KB (412 words) - 15:11, 11 March 2024
- ...med a [[Business Disruption]] and is one of the key forms of [[Operational Risk]]. This term also refers to all of the organisational, technical and staffing measures used to ensure the continuation of operations following a disruption to a s ...1 KB (145 words) - 23:52, 9 March 2021
- == How to Create a Credit Risk Rating System == ...a rating system is to rank borrowers systematically with meaningful credit risk quality differentiation, thereby assisting effective [[Credit Portfolio Man ...2 KB (296 words) - 12:24, 22 February 2021
- ...cessing of medical care, promoting normal birth and carrying out emergency measures. * Take Emergency Measures In Pregnancy ...3 KB (398 words) - 12:12, 26 February 2021
- ...se relationship between compliance risk and certain aspects of operational risk ...l responsibility for co-ordinating the management of the bank’s compliance risk ...5 KB (647 words) - 16:06, 4 October 2021
- ...fficient and timely response relies on disaster risk-informed preparedness measures, including the development of the response capacities of individuals, commu [[Category:Disaster Risk]] ...2 KB (216 words) - 16:30, 10 August 2021
- ...a [[Risk Taxonomy]] that focuses on identifying and defining [[Risk Type | risk categories]] associated with climate / environmental factors (''Also climat ...dual changes in the weather and climate to take the appropriate adaptation measures and avoid maladaptation ...2 KB (299 words) - 13:05, 11 May 2022
- ...f "BACKTESTING" In Conjunction With The Internal Models Approach To Market Risk Capital Requirements''. ...easures. The other two papers in the package are an overview of the market risk amendment and a detailed description of the methodology adopted.</p> ...2 KB (272 words) - 11:44, 26 March 2021
- ...amended to provide for sanctions to deter terrorist activities, including measures to deter terrorist financing.</p> The above regulatory document ''abstract'' is quoted verbatim in this Open Risk Manual entry and provided free of charge for the convenience of all interne ...3 KB (356 words) - 11:46, 26 March 2021
- ...itics and other policy matters, monitor conflicts and consult on mediation measures, as well as other developmental strategies. They write reports to ensure co * Advise On Risk Management ...2 KB (184 words) - 12:18, 26 February 2021
- * Communicate Health And Safety Measures * Risk Management ...2 KB (215 words) - 12:22, 26 February 2021
- ...different borrowers when considered as part of a [[Credit Portfolio]]. It measures the likelihood of [[Joint Default]] within the period of consideration. [[Category:Credit Risk Modelling]] ...1 KB (143 words) - 15:57, 3 April 2019
- ...simply defined at portfolio level, providing synthetic measures of credit risk name concentration. ...sses which can actually differentiate the effective contribution to credit risk. ...2 KB (232 words) - 12:17, 19 May 2017
- ...taken by and organization on the face of materially deteriorating [[Credit Risk]] profile of a client or [[Counterparty]]. [[Category:Credit Risk Monitoring]] ...2 KB (227 words) - 17:43, 18 January 2021
- ''Progress in adopting the principles for effective risk data aggregation and risk reporting''. ...engthen risk data aggregation and risk reporting at banks to improve their risk management practices and decision-making processes. Firms designated as glo ...2 KB (337 words) - 11:47, 26 March 2021
- '''Legal Risk''' is the risk of losses arising from an unintentional or negligent failure to meet a prof It is a recognized risk category in regulatory frameworks worldwide (Basel II/III standards) usuall ...2 KB (268 words) - 14:14, 4 October 2021
- ...' (and Workplace Safety) in the context of [[Risk Management]] denotes the risk of unexpected financial or reputational loss as the result of employment pr It is a recognized risk category in regulatory frameworks worldwide (Basel standards). The precise ...2 KB (270 words) - 11:49, 22 June 2021
- ...g Supervision]] on April 2017 in the [[:Category:BCBS Credit Risk | Credit Risk]] category. ...promote harmonisation in the measurement and application of two important measures of asset quality, non-performing exposures and forbearance, thereby fosteri ...2 KB (309 words) - 11:48, 26 March 2021
- ...sis of economic performance, predictions of future performance and diverse risk management activities. ...idated Banking Data, Investment Funds, Financial Stability Reporting, ESRB Risk Dashboard, Access to Finance etc. ...2 KB (214 words) - 15:39, 7 October 2021