In January 2016, the Basel Committee on Banking Supervision published the standard Minimum capital requirements for market risk (access the BIS full text here). With the goal of promoting a consistent global implementation of this standard, which is to become the basis for Pillar 1 capital requirements in 2019, the Basel Committee periodically reviews frequently […]
BIS
A post-Brexit Assessment of Risks to Debt Sustainability in the Euro Area
Over a month has gone and BREXIT effects are still unfolding. Many defend that the essential feeling is uncertainty and the real effects caused by the fact that the United Kingdom did vote to leave Europe, will only be felt a time goes by. In the meantime, lots of literature and commentators write about BREXIT on a daily basis. Professor John Iannis Mourmouras, […]