Finansinspektionen
Conference hears that investors should not have been sold some structured products because they are too expensive and opaque, while Finansinspektionen announces paper detailing what it expects of distributors...
Anders Meinert Jørgensen, head of group operational risk at Nordea, talks AML awareness and pace of framework change at the bank
Long-term solution to discount rate needed due to Solvency II delays, says regulator
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Finansinspektionen articles
The Basel Committee’s review of trading book capital rules aims to reduce banks’ reliance on internal models. It’s part of a new regulatory philosophy on capital modelling – but it could prompt some banks to turn their backs on the discipline...
Swedish regulators believe risk weights for mortgages at the country’s big four lenders are too low, and are due to announce a mechanical fix – possibly a combination of floors and multipliers. Banks are worried about the incentives that creates....
Survey to begin in second half of the year amid concern over progress of smaller insurers
Sweden's financial supervisory authority warns about standards of information, sales practices and conflicts of interest ahead of Mifid II implementation
An ECB proposal for the European Systemic Risk Board to have oversight on whether European regulators can adjust Basel III for macro-prudential purposes gets a mixed response from central bankers
Systemic regulators want to use Basel III’s micro-prudential tools to steer the wider economy, but no-one knows how these controls work – and bank supervisors may not be happy to take a back seat. By Michael Watt
The financial crisis focused firms’ attention on the need for good governance – and this is set to be enshrined in the regulatory framework when Solvency II hits the statute books in 2013. Last month at Life & Pension Risk’s annual Nordic conference...
This handy guide reviews the various steps banks are taking to improve their risk management techniques, looking at the benefits and pitfalls of each one.
Related conferences
USA, 5th Jun 2013
UK, 12th Jun 2013
Brazil, 12th Jun 2013
Brazil, 12th Jun 2013
UK, 3rd Jul 2013
Related training
Canada, 21st - 16th Oct 2013
UK, 5th - 6th Jun 2013
UK, 5th - 6th Jun 2013
Canada, 10th - 14th Jun 2013
USA, 11th - 12th Jun 2013
Updating your subscription status
Risk IPad Apps
Email alerts
Weekly poll
Related Jobs