The key themes of the 2025 edition of Supervision, Risks & Profitability
The key themes of 2025 edition:
Strategy and management of banks facing new challenges
Launch of the EU Banking Package: impacts on credit policies, products, and processes
ESG Risks: EBA guidelines and impacts on ratings and corporate reporting
ICT & cyber risks and new RDARR regulations
Non-CET1 instruments and bank funding: scope ratings, refinancing policies, and TLAC/MREL eligible liabilities
Updates from Basel 3+ for requirement calculation and operational risk reporting
Role of the board in the initial phase of CRR3/CRD6 and updates on fit & proper assessment
Regulatory developments and new approaches to rating: risks, opportunities, and implications for business models
Beyond requirement calculation: governance, LDC, and operational risk prevention/mitigation
Ready to manage adverse scenarios?
Real estate financing and guarantees: effects of new prudential regulations
From geopolitical risks to market risks: operating in new macroeconomic scenarios and in light of regulatory developments
CRR3/CRD6 updates for LSIs: fewer gaps compared to IRB banks, or more problematic areas?
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