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Monetary Authority of Singapore Risk Management Guidelines on Market Risk – Overview and Summary of Requirements

  • By: Staff Editor
  • Date: March 08, 2013
Webinar All Access Pass Subscription Abstract:

The Monetary Authority of Singapore (MAS) published these Risk Management Guidelines on Market Risk in February 2006. They are aimed at helping financial institutions better cope with the risks inherent in market exposure. This article provides an overview and summary of requirements included in the guidelines.

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