Investment
Karşı Taraf Riski
The risk that the other party in a financial transaction may default on contractual obligations, causing financial loss. In portfolio management, it is a key risk factor in derivatives, securities lending, repo, and OTC contracts.
Kisa cevap: The risk that the other party in a financial transaction may default on contractual obligations, causing financial loss. In portfolio management, it is a key risk factor in derivatives, securities lending, repo, and OTC contracts.
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Kisa cevap
The risk that the other party in a financial transaction may default on contractual obligations, causing financial loss. In portfolio management, it is a key risk factor in derivatives, securities lending, repo, and OTC contracts.
Neden onemli
Karşı Taraf Riski, 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 risk that the other party in a financial transaction may default on contractual obligations, causing financial loss. In portfolio management, it is a key risk factor in derivatives, securities lending, repo, and OTC contracts.
Kullanim ornegi
Portfolio managers must assess counterparty risk before entering into OTC derivatives to ensure compliance with internal risk limits and regulatory requirements.
Yerel karsilik
Karşı Taraf Riski
Yerel ornek
Portföy yöneticileri, dahili risk limitleri ve düzenleyici gerekliliklere uyum sağlamak için tezgah üstü türev işlemlere girmeden önce karşı taraf riskini değerlendirmelidir.
Tanim dili
Ingilizce referans tanim
Kaynak
CFA Institute, IFRS Foundation, FASB (GAAP), Basel III Framework
Hedef kitle
- Financial Analysts
- Bankers
- Traders