Publication Details


Global Institutions, National Supervision and Systemic Risk

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Author(s): G30 Working Group
Year: 1997
Pages: 62
ISBN: 1-56708-101-0

There is a growing gap between the operations of transnational financial institutions and global markets and the national systems of financial accounting, reporting and supervision on which they rely. To bridge that gap, globally active financial institutions should develop risk-management principles against which to evaluate their operations.

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