Events listed in report / study

Asset Management
report / study

FMA-Analyse zur Berücksichtigung von Nachhaltigkeitsrisiken auf dem ...

ID 21498
Die FMA sieht in ihrer Analyse der „Berücksichtigung von Nachhaltigkeitsrisiken auf dem österreichischen Finanzmarkt“ Potentiale, die Implementierung im operativen Risikomanagement zu verbessern. So befragte die FMA eine repräsentative Gruppe ihrer beaufsichtigten Banken, Versicherungen, Pensionskassen, Wertpapierfirmen, Asset Manager sowie Betrieblichen Vorsorgekassen. Umweltrisiken wurde mit (96% bis 100%) eine hohe Bedeutung zugemessen, sozialen Risiken und Ris ...
Asset Management
report / study

EBA publishes its annual quantitative monitoring report on minimum requirement for ...

ID 21474
The European Banking Authority, EBA, has published its „EBA MREL Quantitative Monitoring Report and Impact Assessment“ for 2021 as mandated by Article 45l of the Bank Recovery and Resolution Directive II (BRRD II). In the annual report, EBA assesses + how the requirement for own funds and eligible liabilities has been implemented at national level; + how the power has been exercised by resolution ...
Asset Management
report / study

Federal Reserve Board releases results of survey of senior financial officers at ...

ID 21452
Following a survey among senior financial officers at banks about their strategies and practices for managing reserve balances between November 4, 2022 and November 18, 2022, the Board of Governors of the Federal Reserve System (FED) has now published the results. The survey helps the regulator to gain an understanding of „deposit pricing and behavior, bank liability management, the provision of financial services, and ...
Asset Management
report / study

The liquidity coverage ratio of EU banks declined in the first half of 2022 but is ...

ID 21450
The EU’s existing liquidity coverage requirements are monitored and evaluated in the EBA’s report on liquidity measures: In June 2022, the liquidity coverage ratio (LCR) dropped to 166%. Because of higher interest rates and increased volatility, there was a rise in outflows, which contributed to the reduction in asset prices in the first half of the year. Given the hazy economic outlook, high levels ...
Asset Management
report / study

Nachhaltigkeit bei Kapitalanlagen immer wichtiger

ID 21423
Der Gesamtverband der Versicherer (GDV) veröffentlicht eine Publikation mit dem Titel „Berücksichtigung von Nachhaltigkeit in der Kapitalanlage“. Diese bietet einen Leitfaden für die Berücksichtigung von Nachhaltigkeit bei Kapitalanlagen und erörtert verschiedene Ansätze je nach Größe und Situation des Versicherers sowie der Art der Anlage zur Anwendung von ESG-Kriterien bei Investitionen. Die Publikation beschreibt u.a. verschiedene Möglichkeiten der Integration von Umwelt-, ...

Singapore fund managers upbeat about Asia financial market in 2023 driven by ...

ID 21418
The Investment Management Association of Singapore, IMAS, has published the findings from its recent annual survey conducted among fund managers and major fund management companies in Singapore on the outlook of the industry in 2023. In summary, Singapore fund managers expect a major economic recovery of the People’s Republic of China, but a continuing global recession with high levels of inflation and uncertain economic ...

OCC Issues Annual Report for 2022

ID 21371
The Office of the Comptroller of the Currency (OCC) has published its Annual Report 2022 which primarily informs of the current condition of the federal banking system, the key priorities of the regulator for both the past reporting period and the upcoming one, and of the key actions taken by the regulator to accomplish its goals. As far as the condition of the banking ...
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