credit portfolios in a recession.
In addition, the Committee has put in place a comprehensive data collection initiative to assess the impact of the Basel II framework on its member countries over the credit cycle. Should the cyclicality of the minimum requirement be greater than supervisors consider appropriate, the Committee will consider additional measures to dampen such cyclicality.
Th
proportion of its assets in government and government-guaranteed debt as a measure to stop losing money. After the crisis this loans increased by 12%, mainly in Hong Kong and Rest of Asia-Pacific, where surplus funds were placed on a short-term basis with financial institutions and central banks as part of Balance Sheet Management activities.
In 2006 and previous years loans and advances
Ⅰ. 금융과 금융불안
金融不安의 原因을 순환론적 접근, 통화론적 접근, 불완전정보이론에 의한 접근 등의 세 가지로 구분해 볼 수 있다. 순환론적 접근은 금융불안을 景氣循環의 일부로 파악하여 경기변동과정에서 경제가 趨勢線을 벗어난 침체상태에 이르렀을 때 금융불안이 나타난다는 이론이다.
Ⅰ. 서론
기업이 감당할 수 있는 수준 이상의 위험이 발생한 경우에는 대차대조표 관련 항목 조정 또는 부외거래를 통하여 이를 줄일 수 있다. 먼저 대차대조표 관련 항목 조정의 예를 들어보자. 듀레이션갭 측정을 통해 양의 갭이 측정되었는데, 향후 금리가 상승할 것으로 예측된다고 하자. 이때 기
The number of social enterprise has grown steadily in many countries, with the most rapid growth occurring during 1990s and 2000s. Specified objective of each firms are various, however, social enterprises are commonly aiming for maximizing improvements in human and environmental well-being, rather than maximizing profits for external shareholders. A social enterprise is value driven towards ethi