Banks proceeding at different paces with FRTB implementation Timeline uncertainty and regulatory concerns regarding the market risk reform continues to cause problems for institutions, with varying levels of progress made across the world By Bozena Gulija April 12 2022
PRIMER: Pillar 2 of the Basel banking framework Our latest explainer looks at the innovation in international banking regulation and how it has evolved since its initial introduction By Bozena Gulija April 06 2022
Geopolitical crisis report part five, case study on Russia and Ukraine Russia's invasion of Ukraine has serious sovereign creditworthiness implications for both countries as they weaken economically and fiscally By Bozena Gulija March 24 2022
Geopolitical crisis report part four, sovereign risk The fourth part of this five part report examines the definition of sovereign risk, how sovereign risk is assessed, and what the available options are for its mitigation By Bozena Gulija March 22 2022
Geopolitical risk report part three, political risk The third part of this four part report looks at the definition of political risk and defines how approaches to its assessment and management should be considered in the context... By Bozena Gulija March 18 2022
Report: country risk management Part two of our country risk report looks a how risk analysis and management strategies may help moderate the impact of that risk By Bozena Gulija March 15 2022
Country Risk The first part of IFLR's report on financial sector risks and regulation in times of geopolitical turbulence examines the notion of country risk By Bozena Gulija March 10 2022
IFLR's Geopolitical Crisis Report As war in Europe rages on, our newest reporter and risk management expert Bozena Gulija takes a microscope to financial sector risks and regulation in this four part report By Bozena Gulija March 10 2022
EU Banking Package 2021 proposal and final Basel III rules Financial regulation and risk management expert Bozena Gulija provides an overview of the recently proposed banking package, with a focus on major changes to banks’ capital requirements By Bozena Gulija November 04 2021
Covid-19 and the Basel Framework Financial regulation and risk management expert Bozena Gulija analyses the impact of Covid-19 on the global banking regulation and potential future options By Bozena Gulija March 19 2021