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Model Risk Management - occ.gov

Model Risk ManagementVersion , August 2021 () Office of the Comptroller of the Currency Comptroller s Handbook Safety and Soundness Management (M) Earnings (E) Liquidity (L) Sensitivity toMarket Risk (S) Other Activities (O) Asset Quality(A) CapitalAdequacy(C) Version Contents 1 risks Associated With the Use of 4 Strategic 6 Operational Risk .. 6 Reputation 7 Compliance 8 Credit Risk .. 9 Liquidity Risk .. 9 Interest Rate 10 Price 10 Risk Management ..12 Governance .. 13 Board and Management Oversight.

“Model Risk Management,” is prepared for use by OCC examiners in connection with their examination and supervision of national banks, federal savings associations, and federal branches and agencies of foreign banking organizations (collectively, banks).

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  Management, Risks, Risk management, Banking

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