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Banking and Effective Capital Regulation in Practice
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Table of Contents

Part 1: Mega Banks Significant Losses 1: Losses of Mega Banks and Economic Impact 2: Bank Managers Practices and Significant Losses 3: Risky Management Practices and Principal Theory 4: Risky Management Practices and Goal Theory 5: OCEG Standards Part 2: Government Regulations and Compliance Environment 6: Dodd-Frank Bill 2010 and Regulatory Environment 7: Risk Management Efforts and Excessive Risk Taking 8: Governance and Monetary Policy 9: CCAR and DFAST Testing 10: Bank Manager’s Failed CCAR and DFAST Efforts Part 3: Bank Leadership Consensus on Capital Regulation Practices 11: Understanding Capital Regulation Challenges 12: Risk Appetite, Capital Structure, Stress Test and Governance 13: Risky Identification and Communication 14: Timely Reporting 15: Assurance Functions 16: Compliance Analytics 17: Comprehensive Risk Management Framework

About the Author

Sophia Velez has over 16 years of experience as a Certified Public Accountant (CPA), providing consulting services to large banks.

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