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Что такое Ликвидностный риск?

Ликвидностный риск The risk that a portfolio or asset cannot be bought or sold quickly enough in the market to prevent or minimize a loss, especially under stressed market conditions.

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

How is “Ликвидностный риск” Used in Practice?

Оценка ликвидностного риска является ключевой при построении портфеля и стресс-тестировании, особенно для институциональных инвесторов, владеющих малоликвидными активами.

Certification Exam Relevance

CFAACCAFRM

Who Needs to Know This Term?

  • Financial Analysts
  • Bankers
  • Traders

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Frequently Asked Questions

Что такое Ликвидностный риск?

The risk that a portfolio or asset cannot be bought or sold quickly enough in the market to prevent or minimize a loss, especially under stressed market conditions.

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