PPT-Systemic risk in Europe: Deciphering Leading Measures, Comm

Author : giovanna-bartolotta | Published Date : 2017-12-06

Mikhail Stolbov Maria Shchepeleva MGIMOUniversity Bank of Russia NRU HSE Moscow 1 2 th April 2017 Outline What is systemic risk Dat a

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Systemic risk in Europe: Deciphering Leading Measures, Comm: Transcript


Mikhail Stolbov Maria Shchepeleva MGIMOUniversity Bank of Russia NRU HSE Moscow 1 2 th April 2017 Outline What is systemic risk Dat a. Institute of Environment, Health and Societies. More Timely Action on Fewer Hazards?. The Links between Precaution and Innovation. Understanding the Precautionary Principle: Legal And Administrative Perspectives . Vadym Omelchenko,. Institute of Information Theory and Automation, Academy of Sciences of the Czech Republic.. The presentation’s structure. Definition of polyhedral risk measures (Two-stage). Definition of polyhedral risk measures (Multi-stage). FROM BASEL III TO BASEL II. Fernando J. . Cardim. de . Carvalho. Institute of Economics. Federal University of Rio de Janeiro. Rio . de Janeiro, 23 and 24 August, 2011. Basel II. Hailed as evolution compared to B I. Armen. . Hovakimian. , Baruch College. Edward J. Kane. , Boston College. Luc . Laeven. , IMF. 18th Dubrovnik conference. CROATIAN NATIONAL BANK. JUNE, 2012. Motivation: . Macroprudential. Risk is a Portfolio Risk: . tests: how to identify systemic risk. Session . 10. Mindaugas Leika. 1. Macroprudential policy framework. I. Macroprudential policy definition, targets, policy transmission channels and relationships with other policies (Monday). Mary A. Weiss, Ph.D.. Conference en Finance et Assurance . du Fonds Conrad-Leblanc. Laval University. April 1, 2011. Introduction. Focus on core activities of U.S. insurers. Consider interrelationships between U.S. licensed insurers and reinsurance worldwide. D. Martinez-Miera and J. Suarez. Discussion. Rafal Raciborski. DG ECFIN, European Commission. Norges Bank, Oslo,  29 - 30 November 2012. Disclaimer. The views expressed are the author’s alone and do not necessarily correspond to those of the European Commission.. Vadym Omelchenko,. Institute of Information Theory and Automation, Academy of Sciences of the Czech Republic.. The presentation’s structure. Definition of polyhedral risk measures (Two-stage). Definition of polyhedral risk measures (Multi-stage). DecemBER 2016. Adrian Blundell-Wignall. Special Advisor on Financial Markets to the OECD Secretary General, for Financial & Enterprise Affairs Directorate.. The World Economy: The Key Moving Parts. Consequences of . Regulatory Compliance. Barry . Quinn . (Queen’s University Belfast). Barbara . Casu. (Cass Business School). Sami Ben . Nacuer. (IMF). Rym. . Ayadi. (HEC Montreal). Today. Motivation. Topics. Systemic Introduction. Methodologies and tools. Potential countermeasures. Examples. Systemic Introduction. Traditional. Systemic. Choosing an approach to improve safety. Traditional Crash-Based Approach. Elisa Luciano. University of Torino and . Collegio. Carlo Alberto, Italy. Clas Wihlborg. Chapman University, USA, and University West, Sweden . Background. S. ize and complexity of a bank contribute to Systemic Risk. With greater complexity a bank becomes “too big to fail” at a smaller size.. Archana. Anoor, . Rahul. . Khandelwal. and . Rutika. Kumar . Guide: Philip Jackson. Agenda. Introduction. Life insurance business evolution in India – changes in business mix. Systemic risk. . Systemic Risk Assessment Task Force. Alberto . Corinti. Chair . of the . Systemic Risk Assessment Task Force. Annual Conference, 2-3 November 2017, Kuala Lumpur. Work done to date. 2. 2011. Publication of “Insurance and Financial Stability”.

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