General Search
Multiple search words are automatically linked with "AND". Text enclosed in quotation marks (") returns only the pages in which this text occurs exactly. With the search filters next to the results you have the possibility to further limit your search.
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Credit Risk Standardised Approach Article 111 to 141 of the Capital Requirements Regulation
Under the Credit Risk Standardised Approach the risk positions are assigned to supervisory asset classes and the appropriate risk weights are calculated .
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TIBER Short Read – A Joint DNB and BuBa Publication TIBER-EU – A Short Introduction
The TIBER Short Reads are short papers looking back at six years of TIBER testing in the Netherlands and Germany.. This short read is aimed at explaining what the TIBER-EU framework is and how it works.
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Verfahrensregeln Dotationskonten
No English translation available
Für die Abwicklung von Liquiditätsüberträgen zwischen Dotationskonten und TARGET gelten die „Verfahrensregeln der Deutschen Bundesbank zur Abwicklung von Liquiditätsüberträgen zwischen Dotationskonten und TARGET“
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Information on historical objects
We do not provide any information on the value and authenticity of (commemorative) coins, banknotes etc. For more information, see the following page.
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Overview of the Statistical Supplements Previous issues
The issues of the Statistical Supplements up to and including March 2020 can be called up here.
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Confirmation of your application for the password-protected area
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Outright transactions
According to the general rules for Eurosystem monetary policy instruments and procedures, the outright purchase and sale of securities on the market (outright transactions) are considered standard open market operations within the Eurosystem’s monetary policy framework.
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Forms for the borrowers statistics
The forms are available in PDF format and WORD format.
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Aufsichtliche Beurteilung des bankinternen Liquiditätsrisikomanagements (ILAAP)
No English translation available
Die Erwartungshaltung der deutschen Aufsicht an die Ausgestaltung bankinterner Prozesse zur Sicherstellung einer angemessenen Liquiditätsausstattung (ILAAP) und deren Einbindung in die Gesamtbanksteuerung bei den Kreditinstituten ist in den MaRisk (insb. BTR 3) beschrieben.
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Credit risk mitigation techniques and netting agreements Article 192 to 241 of the Capital Requirements Regulation
The term "credit risk mitigation techniques" refers to institutions' collateral agreements that are used to reduce risk arising from credit positions.
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Terminated programmes
The securities markets programme (SMP), which was announced by the ECB Governing Council on 10 May 2010 and then terminated through its decision of 6 September 2012, as well as the two covered bond purchase programmes of 2009 and 2011 (CBPP and CBPP2) have been terminated. On 6 September 2012, the ECB Governing Council also announced a series of technical features for outright monetary transactions (OMTs) in secondary sovereign bond markets. Purchases are not currently being made.
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Methodik und Qualität Banken und andere finanzielle Unternehmen
No English translation available
Erläuterungen
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Revision of reports scheduled from the reference month of January 2022 onwards Monthly balance sheet statistics of banks (MFIs) and non-MFI credit institutions and external positions of banks (MFIs) and non-MFI credit institutions
Information and documents relevant to the adjustment of the BISTA and AUSTA banking statistics surveys (legal basis, guidelines, reporting templates, formal checks)