Description
Reflecting its statutory duty to conform with best banking practice, the EIB Group aims to comply with relevant EU banking legislative acts and guidelines. Consequently the EIB Group publishes annually its Risk Management Disclosure report, which is designed to provide information about the approach the Group takes in managing the main risks it is exposed to and assessing its capital adequacy, leverage and liquidity.
In addition to following the principles set out in the Capital Requirements Directive and Regulation the Risk Management Disclosure report considers guidelines and opinions of the European Banking Authority, as well as the Standards Documents from the Basel Committee of Banking Supervision on disclosure requirements.
All editions of this publication
- European Investment Bank Group Risk Management Disclosure Report, June 2023
- European Investment Bank Group Risk Management Disclosure Report 2022
- EIB Group Risk Management Disclosure Report 2021
- EIB Group Risk Management Disclosure Report 2020
- EIB Group Risk Management Disclosure Report 2019
- EIB Group Risk Management Disclosure Report 2018
- The EIB Group Risk Management Disclosure Report 2017
- Rapport d’information 2016 sur la gestion du risque du Groupe BEI
- Rapport d'information 2015 sur la gestion du risque du Groupe BEI
- Rapport 2004 sur la gestion des risques à la BEI