Investment
Gestión de colaterales
The process of selecting, valuing, and monitoring collateral to mitigate counterparty credit risk in investment transactions, especially in derivatives, securities lending, and repo markets.
Quick answer: The process of selecting, valuing, and monitoring collateral to mitigate counterparty credit risk in investment transactions, especially in derivatives, securities lending, and repo markets.
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Quick answer
The process of selecting, valuing, and monitoring collateral to mitigate counterparty credit risk in investment transactions, especially in derivatives, securities lending, and repo markets.
Why it matters
Gestión de colaterales matters because it supports clear communication in Investment contexts for Financial Analysts, Bankers, and Traders. It also connects to aviation training and exam language such as CFA, ACCA, and FRM.
Editorial context
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Definition
The process of selecting, valuing, and monitoring collateral to mitigate counterparty credit risk in investment transactions, especially in derivatives, securities lending, and repo markets.
Operational example
Effective collateral management is crucial for reducing counterparty risk in derivatives and repo transactions.
Localized term
Gestión de colaterales
Localized example
Una gestión eficaz de colaterales es crucial para reducir el riesgo de contraparte en transacciones de derivados y repos.
Definition language
English reference definition
Source
CFA Institute, IFRS Foundation, FASB (GAAP), Basel III Framework
Target audience
- Financial Analysts
- Bankers
- Traders