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Risk-Based Capital: Regulatory and Industry Approaches to Capital and Risk

机译:基于风险的资本:资本和风险的监管和行业方法

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The report is intended to inform Members of Congress and others of bothregulatory capital requirements and financial firms' approaches to risk measurement. More specifically, the objectives of the report are to describe, for the banking, securities, futures, and life insurance sectors, (1) regulatory views on the purpose of capital and current regulatory requirements; (2) the approaches of some large financial firms to risk measurement and capital allocation; and (3) issues in capital regulation and initiatives being considered for changes to regulatory capital requirements.

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