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(solution) Risk Management Question Need solution for answer 2 Explain how


Risk Management Question

Need solution for answer 2 

Explain how the Credit Risk Capital Requirements has changed from Basel Acord to Basel II and later to Basell III. Include a discussion on the difference between standardized approach, the IRB approach and the advanced IRB approach.

Plagiarism need to be less than 20% if not will penalized.



Assignment-- BAFI1029: Risk Management

 

Choose one of the following topics and write a critical essay, with the word limit of 800 ±100 ,

 

excluding references.

 

Submission Instruction:

 

You will need to submit your assignment via Turnitin Link, which can be found on blackboard

 

under Course Content>Assignment.

 

The due date for this assignment is 25 September 2016, 23:59pm Australian Eastern Standard.

 

Academic integrity:

 

In order to ensure the academic integrity of your submission and to deter others from copying

 

your work, your submission will be processed through a text-matching software

 

Turnitin will provide a similarity report of your submission against a large database of academic

 

and professional documents. If your submission?s similarity report is under 20%, your assignment will be considered

 

as original.

 

If your submission? similarity report is between 20% and 45%, your submission will be

 

considered as partially original. In this case you will be penalized proportionately.

 

If your submission?s similarity report is above 45%, your assignment will be considered

 

as plagiarized. In this case, you will receive a mark of zero and you will be referred to the

 

academic disciplinary committee. Further information can be found here

 

Topics

 

1) The 2008 financial crisis revealed the failure of the Basel Committee to follow financial

 

innovations and prompted the Committee to review the Basel II framework and carry

 

out a new framework with more adequate capital requirements. Explain the impact of

 

Basel III capital requirements on the financial sector and the real economy. Moreover,

 

identify the reasons of regulating banks and the financial sector.

 

2) Explain how the Credit Risk Capital Requirements has changed from Basel Acord to Basel

 

II and later to Basell III. Include a discussion on the difference between standardized

 

approach, the IRB approach and the advanced IRB approach.

 

3) Critically compare the implementation of Operational Risk Management from Basel

 

Acord to Basel II and later to Basell III. Explain the difference between the basic indicator

 

approach, standardized approach and advance measurement approach for calculating

 

operational risk capital.

 


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Sep 13, 2020

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