Buch, Englisch, 1104 Seiten, Format (B × H): 156 mm x 234 mm
Buch, Englisch, 1104 Seiten, Format (B × H): 156 mm x 234 mm
ISBN: 978-1-5099-2401-1
Verlag: HART PUB
The following issues are addressed:
Supervisory and not risk related requirements regarding indebtedness, stress-tested liquidity and consideration of CVA-risks as well as changes in the calculation of market risks and the division of the global counterparty risk.
Clearing of OTC-derivatives including regulatory and insolvency issues.
Accounting according to German Trade Law and IRFS.
Application of BRRD and SAG rules on derivatives.
Credit Default Swaps and secured refinancing according to ISDA 2014 Credit Derivative Definitions.
Compliance with aspects of civil law effectiveness and liability as well as regulatory requirements.
Risk management from the banking perspective including counterparty risk management and CVA-steering.
Derivatives on energy and goods also in relation to regulatory requirements stemming from EMIR, REMIT and MiFiD.
Legal situation in Luxembourg, Austria and Switzerland.