Список литературы.
Разработка системы управления рисками и капиталом (вподк)
Реферат
Basel II: International Convergence of Capital Measurement and Capital Standards: A Revised Framework. — Comprehensive Version. — 2006. — June. — URL: http://www. bis.org/publ/bcbsl28.pdf; http://www.cbr.ru/today/ms/bn/Basel.pdf. Deutsche Bundesbank. Regulation governing the capital adequacy of institutions, groups of institutions and financial holding groups. — 2006. — URL… Читать ещё >
Список литературы. Разработка системы управления рисками и капиталом (вподк) (реферат, курсовая, диплом, контрольная)
- 1. Указание Банка России от 15 апреля 2015 г.№ 3624-У «О требованиях к системе управления рисками и капиталом кредитной организации и банковской группы» (вместе с «Требованиями к организации процедур управления отдельными видами рисков»).
- 2. Klaassen, Р. Economic capital: how it works and what every manager needs to know. Elsevier /Р. Klaassen., I. Van Eeghen. 2009.
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- 5. McNeil, A.J. Quantitative Risk Management: Concepts, Techniques and Tools (Princeton Series in Finance) /A.J. McNeil, R. Frey, P. Embrechts. — 2005.
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- 7. McKinsey & Company. The use of economic capital in performance management for banks: A perspective. — 2011. — January. — URL: http://www.mckinsey.com/.
- 8. Basel Committee on Banking Supervision. Basel III: A global regulatory framework for more resilient banks and banking systems — revised version (Базель III: Общие peгулятивные подходы к повышению устойчивости банков и банковского сектора). — 2011. -June.
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- 10. Capital requirements for bank exposures to central counterparties. — 2014. — April. — URL: http://www.bis.org/publ/bcbs282.pdf.
- 11. Basel III: The Liquidity Coverage Ratio and liquidity risk monitoring tools. —
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- 12. Basel III: The Net Stable Funding Ratio. — 2014. — October.
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- 14. Basel III: A global regulatory framework for more resilient banks and banking systems — revised version (Базель III: Общие регулятивные подходы к повышению устойчивости банков и банковского сектора). — 2011. — June.
- 15. The standardised approach for measuring counterparty credit risk exposures. —
- 2014. — March. — URL: http://www.bis.org/publ/bcbs279.pdf.
- 16. Capital requirements for bank exposures to central counterparties. — URL: http:// www.bis.org/publ/bcbs282.pdf. — 2014. — April.
- 17. Basel III: The Liquidity Coverage Ratio and liquidity risk monitoring tools. — 2013. — January. — URL: http://www.bis.org/publ/bcbs238.pdf.
- 18. Basel III: The Net Stable Funding Ratio. — 2014. — October.
- 19. Basel Committee on Banking Supervision. Developments in modelling risk aggregation. — 2010. — October.
- 20. Инструкция Банка России от 17 июня 2014 г. № 154-И «О порядке оценки системы оплаты труда в кредитной организации и порядке направления в кредитную организацию предписания об устранении нарушения в ее системе оплаты груда».
- 21. Basel Committee on Banking Supervision. Range of Methodologies for Risk and Performance Alignment of Remuneration. — URL: http://www.bis.org/publ/bcbsl94. pdf. — 2011. — May.
- 22. KPMG, Financial Services. ICAAP in Europe. Moving in Different Directions… — URL: https://www.kpmg.com/SG/en/IssuesAndInsights/ArticlesPublications/ Documents/ICAAPinEurope.pdf. — 2011. — May.
- 23. Oracle Financial Services. Managing Capital Adequacy with the Internal Capital Adequacy Assessment Process (ICAAP) — Challenges and Best Practices. — URL: http:// www.oracle.com/us/industries/financial-services/46 219.pdf.
- 24. BCBS. Principles for the Management and Supervision of Interest Rate Risk. — 2004. — July. — URL: http://www.bis.org/publ/bcbsl08.pdf.
- 25. Deutsche Bundesbank. Regulation governing the capital adequacy of institutions, groups of institutions and financial holding groups. — 2006. — URL: http://www.bundesbank.de/Redaktion/EN/Downloads/Tasks/Banking_supervision/
blob=publicationFile.
- 26. OENB, FMA. Guidelines on Bank-Wide Risk Management Internal Capital Adequacy Assessment Process. — 2006. — February. — URL: http://www.oenb.at/ dms/oenbEN/publications/Financial-Market/Publications-of-Banking-Supervision/ lf_icaap_cnglisch_gcsamt-tcml6−39 190.pdf.
- 27. Письмо Банка России № 96-Т от 20 июня 2011 г. «О методических рекомендациях по организации кредитными организациями внутренних процедур оценки достаточности капитала». — URL: http://cbr.ru/publ/Vestnik/vesl 10 707 037.pdf.
- 29. FSB. 2011 Thematic Review on Compensation. Peer Review Report. — 2011. — 7 October. — URL: http://www.financialstabilityboard.org/wp-content/uploads/ r_11 1011a.pdf.
- 30. FSF Principles for Sound Compensation Practices. — 2009. — 2 April. — URL: http://www.financialstabilityboard.org/wp-content/uploads/r_0904b.pdf2page_ moved=l.
- 31. Principles for An Effective Risk Appetite Framework — Financial Stability Board. — 2013. — November.
- 32. Basel Committee on Banking Supervision. Amendment to the Capital Accord to incorporate market risks. — November 2005. — URL: http://www.bis.org/publ/bcbsl 19. pdf.
- 33. A Sound Capital Planning Process: Fundamental Elements. Sound practices. — URL: http://www.bis.org/publ/bcbs277.pdf. — 2014. — January.
- 34. Compensation Principles and Standards Assessment Methodology. — URL: http:// www.bis.org/publ/bcbsl66.pdf. — 2010. — January.
- 35. Corporate governance principles for banks. — URL: http://www.bis.org/bcbs/ publ/d328.htm. — 2015. — July.
- 36. Range of practices and issues in economic capital frameworks. — URL: http:// www.bis.org/publ/bcbsl52.pdf. — 2009. — March. — 2009.
- 37. Range of Methodologies for Risk and Performance Alignment of Remuneration. — URL: http://www.bis.org/publ/bcbsl94.pdf. — 2011. — May.
- 38. Revisions to the Basel II market risk framework. — URL: http://www.bis.org/ publ/bcbsl93.pdf. — 2011. — February.
- 39. McKinsey. Best practices for estimating credit economic capital. — 2009. — April.
- 40. Principles for the Management and Supervision of Interest Rate Risk. — URL: http://www.bis.org/publ/bcbsl08.pdf. — 2004. — July.