Risk Management

At Banco Mercantil, the management of Credit, Market, Liquidity, Socio-environmental, and Operational risks is under the jurisdiction of the Compliance, PLD, and Risk Board, distributed between the Credit and Socio-environmental Risk Management and Risk and Control Management.

Management is continuously performed and supported by appropriately documented policies, tools, strategies, and methodologies, ensuring the assumption, management, and measurement of risks, and under the objectives, standards, and exposure levels established by Banco Mercantil.

Information related to Risk Management, the calculation of Risk-Weighted Assets, and the calculation of Reference Equity, both qualitatively and quantitatively, is available in the Risk Management Reports – Pillar 3.

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