1. Introduction
2. Economic context
3. Strategy and business models
4. GSIBs and international perspectives
5. Banking supervision
6. The rise of shadow banking
7. Capital
8. Risk-weighted assets (banking book and trading book)
9. Liquidity and funding
10. Central clearing
11. Governance and accountability
12. Risk management (including risk appetite)
13. Culture
14. Risk and reward
15. Conduct (including touching on MiFID)
16. Stress testing
17. Risk and data control
18. Reporting and disclosures
19. Structural changes (including ring-fencing)
20. Recovery and resolution