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References

29 四月, 2015 - 15:03
  1. Federal Deposit Insurance Corporation. "Risk Management Manual of Exam Policies, Section 1.1". Retrieved 17 August 2011.
  2. Section 115, Dodd-Frank Wall Street Reform and Consumer Protection Act. "Pub. L. 111-203". Retrieved 17 August 2011.
  3. Investopedia:Capital Requirement
  4. "Basel II Comprehensive version part 2: The First Pillar – Minimum Capital Requirements" (pdf). November 2005. p. 86.
  5. Section 404, Management's Report on Internal Control Over Financial Reporting and Certification of Disclosure in Exchange Act Periodic Reports. "Final Rule". Retrieved 18 October 2011.
  6. The Guardian. "Ratings agencies suffer 'conflict of interest', says former Moody's bos". Retrieved 19 February 2012.
  7. M. Nicolas J. Firzli, "A Critique of the Basel Committee on Banking Supervision" Revue Analyse Financière, Nov. 10 2011 & Q2 2012
  8. Carpenter, David H. and M. Maureen Murphy. "The “Volcker Rule”: Proposals to Limit “Speculative” Proprietary Trading by Banks". Congressional Research Service, 2010.