Finance English
Banking

¿Qué es Capital por riesgo de mercado?

Capital por riesgo de mercado Capital that financial institutions must hold to cover potential losses arising from market risk, such as changes in interest rates, FX rates, or equity prices.

Source: CFA Institute, IFRS Foundation, FASB (GAAP), Basel III Framework

How is “Capital por riesgo de mercado” Used in Practice?

El capital por riesgo de mercado se determina mediante pruebas de estrés ante movimientos extremos de mercado.

Certification Exam Relevance

CFAACCAFRM

Who Needs to Know This Term?

  • Financial Analysts
  • Bankers
  • Traders

Learn “Capital por riesgo de mercado” Free with Termify

Master Capital por riesgo de mercado and 4,071+ professional terms with native pronunciation, IPA transcriptions and career quizzes. 100% free, forever.

Download Free for iOS

Frequently Asked Questions

¿Qué es Capital por riesgo de mercado?

Capital that financial institutions must hold to cover potential losses arising from market risk, such as changes in interest rates, FX rates, or equity prices.

Where can I learn this term for free?

Termify is a 100% free professional English app that teaches Capital por riesgo de mercado and 4,071+ other industry terms with native pronunciation, IPA transcriptions and career quizzes. Available on iOS in 23 languages. No subscription, no credit card required.

Last updated: