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Read more about the article Value at Risk (VaR) as a Tool for Managing Financial Risk
Value at Risk (VaR) as a Tool for Managing Financial Risk
Banking / Financial Risk Management / Financial Terms

Value at Risk (VaR) as a Tool for Managing Financial Risk

Value at risk (VaR) is a measure of the potential loss on an investment over a specified time period, given a certain level of confidence.

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December 21, 2022
Read more about the article Understanding Liquidity Risk – Types, Causes – and How to Measure and Manage Liquidity Risk
Understanding Liquidity Risk - Types, Causes - and How to Measure and Manage Liquidity Risk
Banking / Company / Financial Risk Management / Financial Terms

Understanding Liquidity Risk – Types, Causes – and How to Measure and Manage Liquidity Risk

Liquidity risk is the risk that a financial institution or other borrower will be unable to meet its financial obligations as they come due

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December 20, 2022
Read more about the article What is Forward Price-to-Earnings Ratio (Forward P/E Ratio)? – Definition
What is Forward Price-to-Earnings Ratio (Forward P/E Ratio)?
Banking / Company / Financial Risk Management / Financial Terms / Stocks

What is Forward Price-to-Earnings Ratio (Forward P/E Ratio)? – Definition

The forward price-to-earnings ratio (forward P/E ratio) is a financial ratio that uses the expected earnings per share (EPS) for the next 12 months to calculate the valuation of a company.

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December 20, 2022
Read more about the article What Is Financial Risk Management? – Framework, Techniques
Financial Risk Management
Banking / Financial Risk Management / Financial Terms

What Is Financial Risk Management? – Framework, Techniques

Financial risk management is the practice of identifying, assessing, and mitigating potential financial risks.

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December 20, 2022
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