Apa itu Modal Risiko Pasar?
Modal Risiko Pasar 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 “Modal Risiko Pasar” Used in Practice?
Modal risiko pasar ditentukan dengan stress test portofolio terhadap pergerakan pasar ekstrem.
Certification Exam Relevance
Who Needs to Know This Term?
- Financial Analysts
- Bankers
- Traders
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Apa itu Modal Risiko Pasar?
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.
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