| Date | Publications |
|---|---|
|
Aug 2003
No 12 |
Markets for Bank Subordinated Debt and Equity in Basel Committee Member Countries |
|
Oct 2002
No 11 |
Second Working Paper on the Treatment of Asset Securitisations |
|
Oct 2001
No 10 |
Treatment of Asset Securitisations |
|
Oct 2001
No 9 |
Internal Ratings-Based Approach to Specialised Lending Exposures |
|
Sep 2001
No 8 |
Regulatory Treatment of Operational Risk |
|
Sep 2001
No 7 |
Pillar 3 - Market Discipline |
|
Aug 2001
No 6 |
Risk Sensitive Approaches for Equity Exposures in the Banking Book for IRB Banks |
|
Jul 2001
No 5 |
IRB Treatment of Expected Losses and Future Margin Income |
|
Dec 2000
No 4 |
Supervisory risk assessment and early warning systems |
|
Aug 2000
No 3 |
Credit ratings and complementary sources of credit quality information |
|
Jun 1999
No 2 |
Supervisory lessons to be drawn from the Asian crisis |
|
Apr 1999
No 1 |
Capital requirements and bank behaviour: the impact of the Basel Accord |