BIA: Difference between revisions
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imported>Doug Williamson (Remove surplus text.) |
imported>Doug Williamson (Mend link.) |
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*[[Operational risk]] | *[[Operational risk]] | ||
*[[Risk Weighted Assets]] | *[[Risk Weighted Assets]] | ||
*[[ | *[[Standardised Approach]] (SA or TSA) | ||
[[Category:Identify_and_assess_risks]] | [[Category:Identify_and_assess_risks]] | ||
[[Category:Manage_risks]] | [[Category:Manage_risks]] |
Latest revision as of 19:56, 25 June 2022
Bank supervision - capital adequacy - operational risk.
Basic Indicator Approach.
The Basic Indicator Approach is a method of evaluation of certain operational risks for banks, for capital adequacy calculation purposes.