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- Title
Risk managing loan collateral at the Bank of England.
- Authors
Alphandary, Alice
- Abstract
The article focuses on the Risk Management Division of the Bank of England as the central bank of Great Britain and its efforts towards risk management to protect its loan collateral. Topics discussed include the results of the independent review done by British banker Bill Winters in 2012 regarding the Bank's framework, the changes in the Bank's Sterling Monetary Framework (SMF) after the release of Winters' review, and the different levels of collateral accepted by the Bank.
- Subjects
BANK of England; RISK management in business; WINTERS, Bill; LOMBARD loans; BANKING industry
- Publication
Bank of England Quarterly Bulletin, 2014, Vol 54, Issue 2, p190
- ISSN
0005-5166
- Publication type
Article