- Understand the nature and impact of IRRBB, including its implications for both profitability and capital.
- Explore the regulatory perspective on IRRBB, focusing on EU supervisory expectations and alignment with international standards (e.g., Basel).
- Examine the internal risk management approach to IRRBB, including governance, policies, measurement techniques, and strategic integration.
- Gain in-depth knowledge of the EU IRRBB framework, its purpose, scope, and key regulatory requirements.
- Develop a strong understanding of core risk metrics such as Economic Value of Equity (EVE) and Net Interest Income (NII), including how they are calculated and interpreted.
- Identify and interpret the main components of IRRBB reports, including stress test results, scenario analysis, and behavioral assumptions.
- Apply concepts through practical examples and exercises to enhance analytical skills and improve real-world decision-making related to IRRBB.