Annex 1 – Guidelines on funding plan templates.xlsx
European Banking Authority Consultation Paper related material - Annex I: Guidelines on funding plan templates (EBA/CP/2013/47)
European Banking Authority Consultation Paper related material - Annex I: Guidelines on funding plan templates (EBA/CP/2013/47)
Risk Assessment Report - January 2014 (ePub)
European Banking Authority Consultation Paper - Consultation Paper on draft Guidelines on harmonised definitions and templates for funding plans of credit institutions (EBA/CP/2013/47)
European Banking Authority Consultation Paper related material - Annex I: AE disclosure templates (EBA/CP/2013/48)
European Banking Authority Technical Standards - Final draft Regulatory Technical Standards (RTS) on the definition of market (EBA/RTS/2013/16)
European Banking Authority Guidelines - Guidelines on capital measures for foreign currency lending to unhedged borrowers under the supervisory review and evaluation process (SREP) (EBA/GL/2013/02)
European Banking Authority Report - Report on appropriate uniform definitions of extremely
high quality liquid assets (extremely HQLA) and high quality liquid assets (HQLA) and on operational requirements for liquid assets under Article 509(3) and (5) CRR (20 December 2013)
European Banking Authority Report - Report on impact assessment for liquidity measures under Article 509(1) of the CRR (20 December 2013)
European Banking Authority Technical Standards - Final draft Regulatory Technical Standards (RTS) on credit valuation adjustment risk for the determination of a proxy spread and the
specification of a limited number of smaller portfolios (EBA/RTS/2013/17)
The European Banking Authority (EBA) published today its final draft Regulatory Technical Standards (RTS) on the method for the identification of the geographical location of the relevant credit exposures. These RTS ensure a consistent EU wide implementation of the countercyclical buffer (CCB) to protect against excess credit growth.
The European Banking Authority (EBA) published today its fourth semi-annual report on risks and vulnerabilities of the EU banking sector. The report identifies improvements in market confidence, funding and capital positions. However, it cautions about ongoing uncertainties on asset valuations and future profitability in a fragile economic environment. The report also draws attention to the risks of detrimental business practices and puts forward possible measures for addressing such vulnerabilities through coordinated policy and supervisory actions.
The European Banking Authority (EBA) published today its technical advice on possible treatments of unrealised gains measured at fair value. The advice provides specific recommendations that will inform the European Commission (EC) as to whether changes to legislation should be introduced in order to sterilise the effect of unrealised gains on regulatory capital (so-called “prudential filters”).
The European Banking Authority (EBA) published today final draft Implementing Technical Standards (ITS) which specify the format, structure, contents list and annual publication date of the supervisory information to be disclosed by competent authorities in the banking sector.
The European Banking Authority (EBA) launches today a consultation on draft Guidelines on capital measures for foreign currency lending (FX lending) aimed at providing guidance to national competent authorities on how to deal with the specific risk of FX lending to unhedged borrowers as part of the Supervisory Review and Evaluation Process (SREP). The consultation runs until 23 August 2013.
The European Banking Authority (EBA) published today its final draft Implementing Technical Standards (ITS) on the reporting of the hypothetical capital of a central counterparty (CCP). These final draft ITS specify calculations and reporting frequencies and templates for the information relating to hypothetical capital that a CCP has to deliver to all the credit institutions and investment firms that are clearing members for the purpose of calculating their own capital requirements. The same information has to be reported to the competent authorities.
The EBA published today a discussion paper on the methodology for the assessment of liquidity and funding risk under supervisory review. The document, which contains a preliminary version of the common methodology for assessing liquidity and funding risk, aims at helping competent authorities and colleges of supervisors assess liquidity and funding risk and reach joint decisions on liquidity. This methodology will be part of the final SREP guidelines, which will be published for consultation in mid 2014.
European Banking Authority Technical Standards related material - Annex II: OND - Transitional Provisions (EBA/ITS/2013/13)
European Banking Authority Technical Standards related material - Annex IV: Statistical Data (EBA/ITS/2013/13)
BSG response to consultation paper (EBA/CP/2013/39), (EBA/CP/2013/38), (EBA/CP/2013/37)-19 December 2013
BSG response to consultation paper (EBA/CP/2013/39), (EBA/CP/2013/38), (EBA/CP/2013/37)-19 December 2013