
Sovereign risk in bank regulation and supervision: Where do we stand?
Speech by Mr Hervé Hannoun, Deputy General Manager of the BIS, at the Financial Stability Institute High-Level Meeting, Abu Dhabi, UAE, 26 October 2011.BIS speech | 26 October 2011by Hervé HannounPDF full text (643kb) | 16 pagesThe sovereign debt strains in most advanced economies have focused attention on the treatment of sovereign risk in banking regulation and supervision.
- Use cases, geography and tags
- Organizations that created, adopted or are mentioned
- Ecosystem position
- Link to the original asset
- Comments and reactions