Gender and diversity finance and IRRBB: Difference between pages

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imported>Doug Williamson
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imported>Doug Williamson
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''Finance - diversity - equity - equality - gender equality.''
''Bank supervision - capital adequacy.''


Gender and diversity finance is an approach to investing that takes explicit account of the effect of the investment in promoting gender equality and diversity.
Interest Rate Risk in the Banking Book.


The risk associated with a change in interest rates and affecting a bank's banking book, as opposed to its trading book.


==See also==
* [[British International Investment]]  (BII)
* [[Diversity]]
* [[Equality]]
* [[Finance]]
* [[Gender bond]]
* [[Gender finance]]
* [[Gender pay gap]]
* [[Global bond]]
* [[Green bond]]
* [[Inclusion]]
* [[International Finance Corporation]]  (IFC)
* [[Social bond]]
* [[Social impact bond]]
* [[Sustainability]]
* [[Sustainability bond]]
* [[Sustainability bond framework]]
* [[Sustainability Bond Guidelines]]
* [[Sustainability-linked bond ]]
* [[Sustainability linked bond framework]]
* [[Sustainability linked loan]]
* [[Sustainability Linked Loan Principles]]
* [[Sustainable bond]]
* [[Sustainable bond framework]]
* [[Sustainable debt]]
* [[Sustainable finance]]
* [[Thematic bond]]
* [[2X Global]]
* [[Use of proceeds bond]]


 
== See also ==
==Other resources==
* [[Banking book]]
*[https://www.ifc.org/wps/wcm/connect/publications_ext_content/ifc_external_publication_site/publications_listing_page/sustainable-bonds-to-bridge-the-gender-gap Bonds to Bridge the Gender Gap: A Practitioner’s Guide to Using Sustainable Debt for Gender Equality - International Finance Corporation - 2021]
* [[Basis risk]]
*[https://assets.bii.co.uk/wp-content/uploads/2022/02/02182247/Gender-and-Diversity-Finance-Position-Statement-2022-26-1.pdf Gender and Diversity Finance Position Statement - British International Investment - Investing for Inclusion 2022-26]
* [[Capital adequacy]]
 
* [[EVE]]
[[Category:The_business_context]]
* [[Interest rate risk]]
[[Category:Corporate_finance]]
* [[Market risk]]
[[Category:Investment]]
* [[MCRMR]]
[[Category:Ethics]]
* [[MRBB]]
[[Category:Identify_and_assess_risks]]
* [[NII]]
[[Category:Manage_risks]]
* [[Shock]]
[[Category:Risk_frameworks]]
* [[Trading book]]
[[Category:Risk_reporting]]
* [[Yield curve risk]]
[[Category:Financial_products_and_markets]]

Revision as of 06:40, 28 August 2016

Bank supervision - capital adequacy.

Interest Rate Risk in the Banking Book.

The risk associated with a change in interest rates and affecting a bank's banking book, as opposed to its trading book.


See also