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Blogs

  1. The UK Version of the Bespoke Prudential Regime For Investment Firms Is Close to Completion: Are Firms in Scope Ready? Oxford Business Law Blog, October 2021
  2. ​What should financial regulators do to ensure operational readiness for zero or negative interest rates? Duke Law Global Financial Markets Center FinReg Blog, February 2021
  3. ​Climate-related prudential risks in the banking sector and emerging regulatory and supervisory practices, Duke Law Global Financial Markets Center FinReg Blog, July 2020
  4. How should banking supervisors handle COVID-19 crisis?, Duke Law Global Financial Markets Center FinReg Blog, August 2020​, Duke Law Global Financial Markets Center FinReg Blog, June 2020
  5. ​Liquidity at Risk and joint stress testing for solvency and liquidity risks, Duke Law Global Financial Markets Center FinReg Blog, June 2020
  6. Responsible Banking Should Not Remain Just a Global Slogan, Duke Law Global Financial Markets Center FinReg Blog, June 2020
  7. “Basel V” Should Target the “Green Swan”, Duke Law Global Financial Markets Center FinReg Blog, May 2020
  8. COVID-19 Should Not Jeopardize the Implementation of Basel IV, Duke Law Global Financial Markets Center FinReg Blog, April 2020 
  9. COVID-19 Outbreak Requires Prompt and Innovative Regulatory Response, Duke Law Global Financial Markets Center FinReg Blog, April 2020
  10. The New EU Prudential Regime for Investment Firms and What It Means for Firms, Duke Law Global Financial Markets Center FinReg Blog, February 2020
  11. Integration of Pillar 3 Disclosures into Regulatory Reporting: New Challenges and Opportunities, Finextra, February 2020
  12. Addressing Systemic Risks from the Procyclicality of Collateral Requirements in Derivatives Markets and SFTs, Duke Law Global Financial Markets Center FinReg Blog, January 2020
  13. Regulatory and corporate returns are once again on the regulatory spotlight: What should firms do?, Finextra, January 2020
  14. ​What do the evolving prudential regulations on climate change risks mean for banks?, Oxford Business Law Blog, January 2020
  15. ​What does the BoE's approach to a no-deal Brexit mean for banks?, PwC Hot Topic, December 2019
  16. What do the PRA’s changing credit risk rules mean for firms?, PwC FSRR Blog, 6 December 2019
  17. SCCyB vs CCyB: Macroprudential substitutes or complements?, Duke Law Global Financial Markets Center FinReg Blog, December 2019
  18. What do the proposed changes to the supervision of liquidity and funding risks in the UK mean?, Duke Law Global Financial Markets Center FinReg Blog, December 2019 
  19. Inconsistent Implementation of the FRTB Could Jeopardize Post-Crisis Banking Reforms, Duke Law Global Financial Markets Center FinReg Blog, November 2019
  20. What does the new market risk framework mean for firms?, PwC Being Better Informed, October 2019, p. 3-5
  21. Countdown to Brexit: What should EEA firms do about their regulatory permissions?, Finextra, September 2019
  22. Regulatory reporting: What should firms do to prepare for Brexit?, Oxford Business Law Blog, September 2019
  23. Deal or No Deal? Brexit Implications for UK/EU Financial Services Firms, Duke Law Global Financial Markets Center FinReg Blog, September 2019
  24. Are UK branches of EU-27 banks ready to become third-country branches?, Finextra, August 2019
  25. Regulatory challenges for banks in a no deal Brexit scenario, PwC FSRR Blog, August 2019
  26. Making the first move on technology for regulatory reporting quality assessments,  PwC UK FSRR blog, July 2019
  27. UK regulatory reporting regime is unduly complex - could RegTech be the solution?, Finextra, July 2019
  28. EU Banking Package: is MREL transparency really warranted?, Finextra, July 2019
  29. EU Banking Package: is MREL transparency really warranted?, Finextra, July 2019
  30. EU prudential regime for investment firms - what's the state of play?. Finextra, July 2019  
  31. CRR II  and CRD V are finally here: What should firms expect?, PwC Being Better Informed p. 6-7, July 2019
  32. Ever-changing leverage ratio framework may cause regulation fatigue, Oxford Business Law Blog, June 2019
  33. Time to prepare for finalised CRR 2 and CRD 5, PwC Hot Topic, May 2019
  34. EU's investment firms prudential regime: all change please,  PwC Hot Topic, May 2019
  35. Brexit: What does Temporary Permissions Regime mean for EEA firms?, Oxford Business Law Blog, April 2019
  36. The EU banking package: CRD V & CRR II, Regulation-Y, April 2019
  37. Stress testing model risk management: New challenges for firms, PwC FSRR Blog, February 2019
  38. EU Banking Package reaches final stage, PwC FSRR Being Better Informed, p. 3-6, February 2019
  39. Major changes for the European prudential regime for investment firms, Oxford Business Law Blog, February 2019
  40. What does the revised FRTB framework mean for firms?, PwC Hot Topic, February 2019
  41. Why should EEA banks ramp up their post-Brexit regulatory planning?, PwC FSRR Blog, February 2019
  42. Investment firms: New prudential regime looms, PwC FSRR Being Better Informed, p. 6, January 2019
  43. Brexit: Firms should reflect BoE’s proposals in ICAAPs and ILAAPs, PwC UK FSRR blog, November 2018
  44. Time for firms to prepare for tougher data quality management guidelines, PwC FSRR Blog, November 2018
  45. Investment firms review: time to prepare as regime take shape, PwC Being Better Informed, October 2018, p. 3-5
  46. Intermediate Parent Undertaking: time to prepare, PwC FSRR Blog, September 2018
  47. Investment firms: the perfect regulatory storm?, PwC FSRR Blog, August 2018
  48. EBA’s final IRRBB guidelines: What does it mean for firms?, PwC Hot Topic, August 2018​
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  • Home
  • About me
  • Blogs
  • Newspaper Articles (in Turkish)
  • Mete Feridun CV (Turkish)
  • Mete Feridun PwC blogs
  • Blog