Risk reporting (also referred to in German as Risikoberichterstattung)
Reporting obligation of banks to the supervisory authority on the details of their risk management, namely their steps to identify, assess and manage risks. – See meltdown risk, Basel III, risk management, risk department, risk management, risk professional, risk and solvency assessment, proprietary, risk assessment system. – See BaFin Annual Report 2004, p. 88 ff. (backtesting results), BaFin Annual Report 2008, p. 56 (liquidity risk management regulations), BaFin Annual Report 2009, p. 96 ff. (basic principles of risk-oriented supervision), BaFin Annual Report 2010, p. 165 (requirements for internal market risk models increased), and the respective BaFin Annual Report, chapter “Supervision of insurance companies and pension funds.”
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University Professor Dr. Gerhard Merk, Dipl.rer.pol., Dipl.rer.oec.
Professor Dr. Eckehard Krah, Dipl.rer.pol.
E-mail address: info@ekrah.com
https://de.wikipedia.org/wiki/Gerhard_Ernst_Merk
https://www.jung-stilling-gesellschaft.de/merk/
https://www.gerhardmerk.de/
