European banks face pressure to issue far more shares in order to meet a tough new global regulatory framework outlined at the weekend by finance ministers of the G20 group of nations which calls for much bigger and better capital buffers against shocks, analysts warned yesterday.
分析师们昨日警告,为达到20国集团(G20)财长上周末概述的manbetx app苹果 新监管框架的严格要求,欧洲银行将承受压力,要求它们大幅增发股票。上述监管框架要求针对可能的震荡,建立更大、更好的资本缓冲。
您已阅读17%(374字),剩余83%(1791字)包含更多重要信息,订阅以继续探索完整内容,并享受更多专属服务。