Investment
Teminat Yönetimi
The process of selecting, valuing, and monitoring collateral to mitigate counterparty credit risk in investment transactions, especially in derivatives, securities lending, and repo markets.
Kisa cevap: 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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Kisa cevap
The process of selecting, valuing, and monitoring collateral to mitigate counterparty credit risk in investment transactions, especially in derivatives, securities lending, and repo markets.
Neden onemli
Teminat Yönetimi, Financial Analysts, Bankers, ve Traders icin Investment baglamlarinda daha net iletisim kurmaya yardimci oldugu icin onemlidir. Ayrica CFA, ACCA, ve FRM gibi egitim ve sinav dilleriyle bag kurar.
Editoryal baglam
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Tanim
The process of selecting, valuing, and monitoring collateral to mitigate counterparty credit risk in investment transactions, especially in derivatives, securities lending, and repo markets.
Kullanim ornegi
Effective collateral management is crucial for reducing counterparty risk in derivatives and repo transactions.
Yerel karsilik
Teminat Yönetimi
Yerel ornek
Türev ve repo işlemlerinde karşı taraf riskini azaltmak için etkin teminat yönetimi hayati öneme sahiptir.
Tanim dili
Ingilizce referans tanim
Kaynak
CFA Institute, IFRS Foundation, FASB (GAAP), Basel III Framework
Hedef kitle
- Financial Analysts
- Bankers
- Traders