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disaster risk shocks, investment funds shed periphery but do not adjust core sovereign debt holdings. The periphery debt shed …
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We build a balance sheet-based model to capture run risk, i.e., a reduced potential to raise capital from liquidity … critical in order for banking system regulators to adequately assess run risk and resilience. By bringing a time series of SVB … SVB prone to run risk, as they were increasingly relying on held-to- maturity, aka hidden-to-maturity, accounting …
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The ability of institutions to effectively manage and aggregate risk-related data is an essential precondition for … sound decision-making and strong risk governance. This applies to any data used to steer and manage institutions, both … strategically and operationally, as well as data used for risk, financial and supervisory reporting. …
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This report discloses climate-related information about the ECB's euro-denominated non-monetary policy portfolios. The report includes investments into the ECB's staff pension fund and its own funds portfolio. The ECB's efforts to reduce carbon emissions in line with the interim targets set for...
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