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VERSION:2.0
METHOD:PUBLISH
CALSCALE:GREGORIAN
BEGIN:VEVENT
DTSTAMP:20260705T210947Z
DTSTART;VALUE=DATE:20260914
DTEND;VALUE=DATE:20260915
SUMMARY:Current and best practices in recovery plan assessment
TRANSP:TRANSPARENT
UID:2026_09_14_current_and_best_practices_962080
DESCRIPTION:Deadline for application\n\n31 July 2026\n\nObjectives\n\nThe
  seminar introduces the participants to the main aspects of recovery pla
 ns. It starts with an overview of the relevant regulation with a specifi
 c focus on the latest developments. Building on this\, it explores the b
 roader economic intuition and the main elements and approaches used with
  respect to recovery plans. On the second day\, the seminar lays out the
  SSMs current focus topics for recovery planning and proceeds with a dee
 pdive into the specifics that need to be considered when dealing with sm
 aller institutions.\n\nThe presentations will also highlight peculiariti
 es in dealing with bank specificities (size of the institutions\, calibr
 ation of capital indicators and connection with the risk appetite framew
 ork of banks\, particular business models\, etc.) and touch upon coopera
 tion and cross-border aspects.\n\nTarget Group\n\nThis seminar is target
 ed at experts from supervisory authorities and central banks with focus 
 on stability and supervision of the banking industry and of financial  m
 arkets. While a general introduction into the field allows also newcomer
 s to participate in the seminar\, it especially addresses professionals 
 with experience in recovery planning and with an adequate level of exper
 tise.
LOCATION:Deutsche Bundesbank\, Taunusanlage 5\, 60329 Frankfurt am Main\,
  Germany
CONTACT:
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