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From Open Risk Manual
  • ! [https://www.openriskacademy.com/course/index.php?categoryid=36 Financial Literacy] * [https://www.openriskacademy.com/course/view.php?id=49 EU Financial Regulations Quiz]
    19 KB (2,522 words) - 14:31, 9 May 2024
  • ...because they are so interconnected that, if one of them were to experience financial problems, the other or all of the others would be likely to encounter repay * Legal liability stemming from law and/or agreement
    3 KB (464 words) - 14:56, 22 January 2021
  • ...It is instead typically part of a ''cashflow set'' [[Financial Products | financial product]] or transaction. For example, most lending products involve coupon ...cial obligation of a borrower. It is typically part of the total financial liability set of a single legal ''counterparty''. This [[Counterparty]] can be a [[Na
    6 KB (775 words) - 14:54, 24 February 2020
  • ...ny difference between that initial amount and the maturity amount and, for financial assets, adjusted for any loss allowance. ...sure. The carrying value of a financial asset recorded in the statement of financial position at any given point in time does not provide information about the
    2 KB (271 words) - 14:22, 12 November 2019
  • ...Cash Flows]] and/or value of an interest rate sensitive financial asset or liability such as a loan, bond or derivative position The degree of interest rate risk embedded in a financial product is linked to the sensitivity of its individual cashflows to interes
    1,018 bytes (149 words) - 14:16, 5 February 2020
  • * Support the [[Capital Management | management of capital]] and financial returns ...credit portfolio management have been challenged by the unfolding of the [[Financial Crisis]] of 2008:
    7 KB (943 words) - 14:41, 15 November 2021
  • ...urance]] as a [[Financial Product]] and [[Insurance Risk]] as underwritten liability for any of the defined types of insurance policies [[Category:Financial Product]]
    12 members (0 subcategories, 0 files) - 13:23, 24 February 2020
  • ...fety) in the context of [[Risk Management]] denotes the risk of unexpected financial or reputational loss as the result of employment practices followed by the ** General Liability (slip and fall, etc.)
    2 KB (270 words) - 11:49, 22 June 2021
  • ...neer with broad experience in all aspects of risk management, auditing and financial management. • Financial risk professional with in-depth understanding of risk management framework
    797 bytes (100 words) - 18:51, 30 October 2016
  • ...nd extends the list of terms included in the standard<ref>IFRS Standard 9, Financial Instruments</ref> (Appendix A, Defined Terms), <ref>BIS-D350, Dec 2015</ref ...ny difference between that initial amount and the maturity amount and, for financial assets, adjusted for any loss allowance
    10 KB (1,464 words) - 11:38, 25 September 2020
  • ...arrying amount]] of a financial asset or the amortised cost of a financial liability. ...estimates of expected cash flows consider all the contractual terms of the financial instrument (for example, prepayment, extension, call and similar options) b
    2 KB (257 words) - 15:26, 31 July 2019
  • ...January 2018 while earlier application is permitted <ref>IFRS Standard 9, Financial Instruments</ref>. ...ements are the main source of information about the [[Balance Sheet]] of a financial institution.
    8 KB (1,123 words) - 13:25, 25 October 2019
  • ...ncial Asset]] or [[Financial Liability]] from an entity’s [[Statement of Financial Position]]
    265 bytes (30 words) - 22:23, 6 September 2021
  • Fair value through profit or loss is an accounting method for financial assets and liabilities ...liability that meets one of the following conditions<ref>IFRS Standard 9, Financial Instruments</ref>:
    707 bytes (99 words) - 00:51, 28 January 2020
  • ...ve been incurred if the entity had not acquired, issued or disposed of the financial instrument. ...s must be subtracted from fair value at initial recognition of an asset or liability<ref>IFRS Standard 9, 5.1.1</ref>
    755 bytes (99 words) - 00:53, 28 January 2020
  • ...Standard 9, Financial Instruments</ref> that denotes a financial asset or liability that: * on initial recognition is part of a portfolio of identified financial instruments that are managed together and for which there is evidence of a
    2 KB (229 words) - 00:52, 28 January 2020
  • ...the definition of one of the elements of financial statements (an asset, a liability, equity, income or expenses). ...ows from the financial asset expire, or the reporting entity transfers the financial asset
    1 KB (184 words) - 22:33, 6 September 2021
  • * Asset liability management (ALM) * Financial planning (merger and acquisition analysis, business growth strategies and c
    635 bytes (79 words) - 12:25, 16 September 2021
  • ...puter implementation) that simulates possible future paths of economic and financial market variables<ref>Economic Scenario Generators, A Practical Guide, Socie ...and financial market variables and not firm specific / portfolio (asset or liability) specific models. Such auxiliary specific models are typically implemented
    5 KB (698 words) - 17:17, 30 October 2019
  • ...uts are [[Quoted Price | quoted prices]] in active markets for identical [[Financial Asset | assets]] or liabilities that the entity can access at the measureme ...hin Level 1 as the product of the quoted price for the individual asset or liability and the quantity held by the entity, even if the market's normal daily [[Tr
    5 KB (687 words) - 09:28, 19 September 2021

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