Explore the complexities and risks associated with the clearing and settlement processes in securities transactions, including operational, credit, and liquidity risks, and the regulatory measures in place to mitigate these risks.
Explore the critical role of capital adequacy requirements in the banking sector, focusing on Basel III standards, capital buffers, and their impact on financial stability.
Explore the regulatory requirements in portfolio risk management, including frameworks like Basel III and MiFID II, and their impact on financial institutions.