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The views expressed are those of the speakers and not necessarily those of the European Central Bank.
Published on 12 February 2022 and recorded on 10 February 2022.
How Europe’s banks are faring two years into the pandemic and whether the crisis phase is over for them.
How prepared banks are to manage credit risk and the issues our supervisors ask them to fix.
How 2022 will be a big year for our work supervising climate risks and the extent to which banks are taking them into account.
How the digital transformation can make banks’ business models more sustainable.
Internal governance is a weak spot for banks and the role diversity can play in ensuring sound decision-making.
A book recommendation related to the challenges banks are currently facing.