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Gurpreet Banwait

Senior Global Product Manager, FINCAD
1 April 2011
Article

What’s at Risk? The Use of Sensitivity Analysis to Measure Your Portfolio’s Risk

‘Risk’ – a four letter word that has gained increased prominence since the financial crisis hit. More appropriately the lack of risk management is being blamed for helping to deepen the financial crisis. Companies are now focusing on the various types of risk management techniques available to them and the list is extensive: Liquidity, collateral, counterparty, market, […]

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