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counterparty risk management

См. также в других словарях:

  • Credit risk management — In finance, Credit risk management is the process of assessing risk in an investment. When the risk has been assessed, investment decisions can be made and the risk vs. return balance considered from a better position.The main way to reducing… …   Wikipedia

  • Counterparty credit risk —   Risk that the counterparty will fail to meet its obligations under the terms agreed of all contracts resulting in possible replacement costs. Counterparty credit risk is becoming an important factor in the derivatives markets (such as swaps).… …   International financial encyclopaedia

  • Counterparty exposure —   Difference between the sum of assets and contingent assets and the sum of liabilities and contingent liabilities relating to the same counterparty on which a credit risk is run(provided netting is allowed). See also Risk management …   International financial encyclopaedia

  • Collateral management — Collateral has been used for hundreds of years to provide security against the possibility of payment default by the opposing party in a trade. Collateral management began in the 1980s, with Bankers Trust and Salomon Brothers taking collateral… …   Wikipedia

  • Credit risk — Categories of financial risk Credit risk Concentration risk Market risk Interest rate risk Currency risk Equity risk Commodity risk Liquidity risk Refinancing risk …   Wikipedia

  • Liquidity risk — In finance, liquidity risk is the risk that a given security or asset cannot be traded quickly enough in the market to prevent a loss (or make the required profit).Types of Liquidity Risk#Asset Liquidity An asset cannot be sold due to lack of… …   Wikipedia

  • Valuation risk — combines aspects of data management, financial engineering and modelling and uncertainties related to the changing conditions of financial markets.Valuation Risks have a direct impact on internal and regulatory compliance, counterparty exposure… …   Wikipedia

  • E. Gerald Corrigan — Infobox President | name =E. Gerald Corrigan nationality =American imagesize =150px order =7th President of the Federal Reserve Bank of New York term start =January 1, 1985 term end =July 19, 1993 president = predecessor =Anthony M. Solomon… …   Wikipedia

  • Credit default swap — If the reference bond performs without default, the protection buyer pays quarterly payments to the seller until maturity …   Wikipedia

  • Arbitrage — For the upcoming film, see Arbitrage (film). Not to be confused with Arbitration. In economics and finance, arbitrage (IPA: /ˈɑrbɨtrɑːʒ/) is the practice of taking advantage of a price difference between two or more markets: striking a… …   Wikipedia

  • Leverage (finance) — In finance, leverage (sometimes referred to as gearing in the United Kingdom) is a general term for any technique to multiply gains and losses.[1] Common ways to attain leverage are borrowing money, buying fixed assets and using derivatives.[2]… …   Wikipedia

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