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Что такое Капитал на рыночный риск?

Капитал на рыночный риск 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 “Капитал на рыночный риск” Used in Practice?

Капитал на рыночный риск определяется стресс-тестированием портфелей против экстремальных движений рынка.

Certification Exam Relevance

CFAACCAFRM

Who Needs to Know This Term?

  • Financial Analysts
  • Bankers
  • Traders

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Frequently Asked Questions

Что такое Капитал на рыночный риск?

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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