Difference between revisions of "AQR Table of Contents"

From Open Risk Manual
 
Line 4: Line 4:
 
* Chapter 1. Processes, policies and accounting review  
 
* Chapter 1. Processes, policies and accounting review  
 
* Chapter 2. Loan tape creation and data integrity validation (DIV)
 
* Chapter 2. Loan tape creation and data integrity validation (DIV)
* Chapter 3. Sampling
+
* Chapter 3. [[Stratified Sampling]]
 
* Chapter 4. Credit file review
 
* Chapter 4. Credit file review
 
* Chapter 5. Collateral and real estate valuation
 
* Chapter 5. Collateral and real estate valuation

Latest revision as of 16:08, 10 June 2021

AQR Table of Contents

The Asset Quality Review Manual (Phase 2) is a methodology document published by the European Central Bank on March 2014. The ECB performed a comprehensive assessment prior to assuming full responsibility for supervision under the single supervisory mechanism in November 2014.

  • Chapter 1. Processes, policies and accounting review
  • Chapter 2. Loan tape creation and data integrity validation (DIV)
  • Chapter 3. Stratified Sampling
  • Chapter 4. Credit file review
  • Chapter 5. Collateral and real estate valuation
  • Chapter 6. Projection of findings of credit file review
  • Chapter 7. Collective provision analysis
  • Chapter 8. Level 3 fair value exposures review
  • Chapter 9. Determine AQR-adjusted CET1% and Remediation Activities
  • Chapter 10. Quality assurance and Progress Tracking