Regulation 10/2014 ''On the risk management from large exposures of banks'', integrated version
Approved by: Supervisory Council
Number: 10 (Amended)
Enter into force: 10.07.2015
Published in: Official Journal
Department: Banking Supervision
The purpose of this Regulation is to set out rules and criteria for calculating, supervising and reporting bank’s large exposures to a person/client or group of persons/clients connected between them or with the bank, for the purpose of managing the risk arising from concentrated exposure to them.