EBA has released an updated list of risk assessment indicators and risk analysis tools, along with a methodological guide.
The purpose of this guidance is to provide a consistent interpretation of key bank figures for competent authorities and users of EBA data, without imposing any additional reporting burden on reporting institutions or authorities. The update is aligned with the EBA reporting framework version 3.2 and includes a review of indicators related to profitability, liquidity, funding, and other areas.
The accompanying EBA Methodological Guide and DARTs have also been revised based on the 3.2 taxonomy.
Other Features
assessment
banks
companies
leverage
liquidity
own funds
reporting
risk
Date Published: 2023-06-14
Regulatory Framework: Capital Requirements Regulation (CRR)
Regulatory Type: procedure
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