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BBVA in 2012

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Structural risk <strong>in</strong> the equity portfolioThe GRM corporate area undertakes ongo<strong>in</strong>g monitor<strong>in</strong>g of structural risk <strong>in</strong> its equity portfolio<strong>in</strong> order to limit the potential negative impact that an adverse performance by its hold<strong>in</strong>gs mayhave on the Group’s solvency and earn<strong>in</strong>gs recurrence. This also ensures that the risk is kept with<strong>in</strong>levels that are compatible with <strong>BBVA</strong>’s target risk profile.The scope of monitor<strong>in</strong>g <strong>in</strong>cludes the <strong>in</strong>vestments <strong>in</strong> capital held by the Group <strong>in</strong> <strong>in</strong>dustrialor f<strong>in</strong>ancial companies and accounted as <strong>in</strong>vestment portfolio. These hold<strong>in</strong>gs <strong>in</strong>clude thoseconsolidated <strong>in</strong> the Group, although <strong>in</strong> this case changes <strong>in</strong> value do not have an immediate effecton equity. Positions held <strong>in</strong> derivatives whose underly<strong>in</strong>g assets are of this type are also taken <strong>in</strong>toaccount <strong>in</strong> order to limit the portfolio sensitivity to potential falls <strong>in</strong> prices.The GRM corporate area estimates the risk levels assumed and monitors the level of compliancewith the limits set, accord<strong>in</strong>g to the risk appetite and as authorized by the Executive Committee,and periodically <strong>in</strong>forms the Group’s senior management of these aspects. The mechanisms ofrisk control and limitation h<strong>in</strong>ge on the key aspects of exposure, earn<strong>in</strong>gs and economic capital.Economic capital measurement is also built <strong>in</strong>to the risk-adjusted return metrics to ensure efficientcapital management <strong>in</strong> the Group. With<strong>in</strong> GRM, CRM is the unit responsible for <strong>in</strong>form<strong>in</strong>g theExecutive Committee and the Risk Committee of the effect on <strong>BBVA</strong> Group of any critical marketconditions that may occur <strong>in</strong> the future. Stress tests and sensitivity analyses to different simulatedscenarios are carried out periodically to analyze the risk profile <strong>in</strong> more depth. They are based onboth past crisis situations and forecasts made by <strong>BBVA</strong> Research. In addition, backtest<strong>in</strong>g is carriedout monthly on the risk measurement model used.In <strong>2012</strong>, structural equity risk management has been aimed at safeguard<strong>in</strong>g the book valueof the Group’s hold<strong>in</strong>gs, tak<strong>in</strong>g <strong>in</strong>to account the current context of f<strong>in</strong>ancial crisis. Thus, activemanagement, together with a hedg<strong>in</strong>g policy, has enabled the Group to ma<strong>in</strong>ta<strong>in</strong> the risk taken,measured <strong>in</strong> terms of economic capital, at moderate levels.Structural risks115

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