Käesolevas dokumendis on sätestatud Euroopa Investeerimispanga Grupi (EIP) peainspektsiooni pettuste uurimise osakonna poolt uurimise läbiviimise menetlus („Uurimise läbiviimise menetlus”).
This paper shows that using the Growth-at-Risk (GaR) framework can help design stress-test scenarios for euro area banks that are both severe and realistic, improving the credibility of financial stability assessments.
The EIB Group Risk Management Disclosure Report (the GRMD Report) provides disclosures about EIB Group’s exposure to risks and enhances the Group’s market transparency.