The European Central Bank hopes that banks in the region will consider political turmoil and war risks when assessing their financial strength, in order to strengthen the monitoring of major threats to the financial industry. Two senior officials of the Central Bank wrote in a blog post on Tuesday that the bank will evaluate how banks handle such geopolitical impacts in their risk management frameworks, capital and liquidity planning, and internal stress testing. They stated that this work will help to 'identify sound practices and further clarify our regulatory expectations.'
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欧洲央行将评估银行风险管理规划中对于地缘政治风险的处置
The European Central Bank will assess how geopolitical risks are addressed in banks' risk management planning.
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