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Lack of historical data is hampering financial firms from creating the type of op risk models they must have in place for Basel II compliance. By Oonagh Leighton
Sponsor's article > BNL Case Study: Improving Risk Control and Achieving Capital Savings
Today, with approximately 17,000 employees, 700 branches across Italy, an international presence to support its corporate clients, and a ranking within the top 50 of European banks in terms of market capitalization, Banca Nazionale del Lavoro (BNL) is…
Sponsor's article > Capitalia Case Study: Effective Integration of Market, Credit and ALM
CAPITALIA BANKING GROUP is one of the top five banking organizations in Italy with total assets of EUR155bn. Based in Rome, the group is the product of the merger of several leading Italian financial institutions over the last two years.
A solid foundation
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Both sides of the fence
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MiFID rolls on despite industry gripes
BRUSSELS - The implementation of the Markets in Financial Instruments Directive (MiFID) rolls on, much to the chagrin of some financial services firms.
Basel hurries to clarify questions
BASEL, SWITZERLAND – Members of the Basel Committee on Banking Supervision are burning the midnight oil to try to resolve some difficult op risk issues before various jurisdictions are forced to finalise their Basel II rules to meet implementation…
Process or die, says Isda chairman Moulds
The continued growth of the derivatives industry will depend on the industry’s ability to improve processing efficiencies, said Jonathan Mould, chairman of the International Swaps and Derivatives Association, this morning.
Germany’s closed shop
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