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5.26. Management of Concentration risk exposures
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LEGAL ENTITIES LEGISLATION
FINANCIAL SERVICES LEGISLATION
REGULATIONS
RULES
GENERAL RULES
CONDUCT OF BUSINESS RULES
ANTI-MONEY LAUNDERING AND COUNTER-TERRORIST FINANCING AND SANCTIONS RULES
COLLECTIVE INVESTMENT SCHEME RULES
AUTHORISED MARKET INSTITUTION RULES
MARKET RULES
RECOGNITION RULES
DEMATERIALISED INVESTMENT RULES
RULES FOR PRE-IPO LISTINGS
SOVEREIGN BONDS RULES
BANKING BUSINESS PRUDENTIAL RULES
CHAPTER 1 General
CHAPTER 2. Principles relating to Banking Business
CHAPTER 3. Prudential Reporting Requirements
CHAPTER 4. Capital Adequacy
Initial and ongoing capital requirements
Section 4A – Capital Requirements and Ratios
Section 4B – Elements of Regulatory Capital
Section 4C – Treatment of Minority interests
Section 4D Regulatory Adjustments
Section 4E Capital Buffers
Section 4F Leverage Ratio
CHAPTER 5. Credit Risk and Concentration Risk
Part I. Credit Risk
5.1. Credit Risk Management – Systems and Controls
5.2. Role of Governing Body—Credit Risk
5.3. Classification of Credit exposures
5.4. Problem Assets and Impaired Assets
5.5. Using ratings from External Credit Rating Agencies (ECRAs)
5.6. Calculation of Risk-Weighted Assets (RWAs)
5.7. Calculation of RWAs – for On-Balance Sheet Exposures
5.8. Specialised lending
5.9. Risk-weights for unsecured part of claim that is past due for more than 90 days
5.10. Calculation of RWAs – for Off-Balance Sheet Exposures
5.11. Credit equivalent amounts for market-related items
5.12. Calculation of credit equivalent amounts
5.13. Policies—foreign exchange rollovers
Credit Risk Mitigation
5.14 Requirements—Credit Risk Mitigation techniques
5.15. Standard haircuts for Credit Risk Mitigation calculations
5.16. Collateral
5.17. Eligible financial collateral
5.18. Guarantees
5.19 Credit derivatives
5.20. Netting agreements
5.21. Securitisation and Re-securitisation
5.22. Provisioning requirements
5.23. Transactions with related parties
Part II Concentration risk and related matters
5.24 General
5.25 Concentration risk
5.26. Management of Concentration risk exposures
Policies—large exposures
Limits on exposures
Obligation to measure
5.27 Powers of the AFSA
CHAPTER 6. Market Risk
CHAPTER 7. Operational Risk
CHAPTER 8. Interest Rate Risk in the Banking Book
CHAPTER 9. Liquidity Risk
CHAPTER 10. Group Risk
CHAPTER 11. Supervisory Review and Evaluation Processes
CHAPTER 12. Public Disclosures Requirements
PRUDENTIAL RULES FOR INVESTMENT FIRMS
PRUDENTIAL RULES FOR INSURANCE INTERMEDIARIES
INSURANCE AND REINSURANCE PRUDENTIAL RULES
ISLAMIC BANKING BUSINESS PRUDENTIAL RULES
ISLAMIC FINANCE RULES
TAKAFUL AND RETAKAFUL PRUDENTIAL RULES
REPRESENTATIVE OFFICE RULES
AIFC AUDITOR RULES
AIFC Financial Technology Rules
COOPERATION AND EXCHANGE OF INFORMATION RULES
TERMS AND PROCEDURE FOR CURRENCY TRANSACTIONS
FINANCIAL SERVICES EXEMPT FROM CORPORATE TAX
GLOSSARY
FEES RULES
RULES ON CURRENCY REGULATION AND PROVISION OF INFORMATION ON CURRENCY TRANSACTIONS IN THE AIFC
RULES ON THE SUBSTANTIAL PRESENCE OF THE AIFC PARTICIPANTS APPLYING TAX EXEMPTIONS FOR THE PAYMENT OF CIT, VAT
MULTILATERAL AND ORGANISED TRADING FACILITIES RULES
AIFC RECOVERY AND RESOLUTION RULES
AIFC RULES ON DIGITAL ASSET ACTIVITIES
RULES AND MECHANISMS OF COOPERATION OF UNBACKED DIGITAL ASSET EXCHANGES AND/OR CENTRE PARTICIPANTS AUTHORIZED TO CARRY OUT DIGITAL ASSETS-RELATED ACTIVITIES WITH SECOND-TIER BANK OF THE REPUBLIC OF KAZAKHSTAN
POLICIES AND POLICY STATEMENTS
NOTICES
GUIDANCE
TEMPLATE
CONSULTATION PAPERS
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Relation to stress-testing
Policies—large exposures
Policies—large exposures
Limits on exposures
Obligation to measure