Financial risk: {{Sidebar with collapsible lists | name = Finance sidebar | title = Finance | image = | listtitlestyle = background:#ddf;text-align:center; | listclass = plainlist | expanded = | list1name = markets | list1title = Markets | list1 = | list2name = instruments | list2title = Instruments | list2style = padding-left:2.0em;padding-right:2.0em;. (Finance) [100%] 2023-07-16 [Financial risk] [Financial law]...
Financial risk: Financial risk is any of various types of risk associated with financing, including financial transactions that include company loans in risk of default. Often it is understood to include only downside risk, meaning the potential for financial loss and uncertainty ... (Any of various types of risk associated with financing) [100%] 2025-07-07 [Financial risk] [Financial law]...
Financial risk management: Financial risk management is the practice of protecting economic value in a firm by managing exposure to financial risk - principally operational risk, credit risk and market risk, with more specific variants as listed aside. As for risk management more generally ... (Finance) [81%] 2023-11-23 [Financial risk management] [Mathematical science occupations]...
Financial risk sharing: In health care economics, financial risk sharing is "any system which allows payors to share some of the financial risk associated with a particular patient population with providers. Providers agree to adhere to fixed fee schedules in exchange for an ... [81%] 2023-08-16
Financial risk modeling: Financial risk modeling is the use of formal mathematical and econometric techniques to measure, monitor and control the market risk, credit risk, and operational risk on a firm's balance sheet, on a bank's trading book, or re a ... (Finance) [81%] 2024-01-11 [Financial risk modeling] [Actuarial science]...
Financial risk management: Financial risk management is the practice of protecting economic value in a firm by managing exposure to financial risk - principally operational risk, credit risk and market risk, with more specific variants as listed aside. As for risk management more generally ... (Practice of protecting economic value in a firm by managing exposure to financial risk) [81%] 2024-01-21 [Financial risk management] [Mathematical science occupations]...
Non-financial risk: Non-financial risks (NFR) are all of the risks which are not covered by traditional financial risk management. This negative definition resembles the initial definition of operational risk, and it depends on the bank or cooperation whether or not they ... [81%] 2022-07-27 [Financial risk management]
Non-financial risk: Non-financial risks (NFR) are all of the risks which are not covered by traditional financial risk management. This negative definition resembles the initial definition of operational risk, and it depends on the bank or corporation whether or not they ... (Finance) [81%] 2024-04-01 [Financial risk management]
Financial Risk Manager: Financial Risk Manager(ファイナンシャルリスクマネージャー、FRM)はアメリカのニュージャージー州に本部を置く GARP (Global Association of Risk Professionals) が認定する、金融リスクプロフェッショナルの資格である。FRM の資格を取得する為には Part I および Part II の2つの試験に合格し、2年以上の金融リスク関連の職務経験を証明する必要がある。2018年時点で、GARPが公表するFRM資格取得者数は190ヶ国に渡り、約56,000人。日本人のFRM資格取得者は1%に満たない。 金融危機からの数多くの教訓をカリキュラムに盛り込んでおり、総合的なリスク管理、数理ファイナンスおよび金融工学に特化した高い難易度を誇る. [81%] 2025-01-31 [国際資格] [リスク]...
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