Description: Basis risk in finance is the risk associated with imperfect hedging due to the variables or characteristics that affect the difference between the futures contract and the underlying "cash" position. It arises because of the difference between the price of the asset to be hedged and the price of the asset serving as the hedge before expiration, namely b = S - F. Barring idiosyncratic influence ...
Description: Basis risk is the potential risk that arises from mismatches in a hedged position. Basis risk occurs when a hedge is imperfect, so that losses in an investment are not exactly offset by the hedge.
Description: Basis Cash is an Algorithmic Stablecoin Pegged to 1 USD.. The protocol is designed to expand and contract supply similar to the way central banks trade fiscal debt to stabilize purchasing power, without any rebases or collateral risk.
Description: Basis trading is a trading strategy that seeks to profit from perceived mispricing of securities, capitalizing on small basis point changes in value. more Partner Links
Description: NEW DELHI: Markets regulator Sebi on Monday asked mutual funds to classify all debt schemes in terms of a potential risk class matrix, based on interest and credit risk. In this regard, a display table has been made mandatory from December 1, 2021, the Securities and Exchange Board of India (Sebi) said in a circular. The 9-cell table or matrix will display the interest and credit risk ...
Description: Markets regulator Sebi on Monday asked mutual funds to classify all debt schemes in terms of a potential risk class matrix, based on interest and credit risk. In this regard, a display table has been made mandatory from December 1, 2021, the Securities and Exchange Board of India (Sebi) said in a circular. The 9-cell table or matrix will display the interest and credit risk associated with the ...
Description: Risk-adjusted return measures how much risk is associated with producing a certain return. The concept is used to measure the returns of different investments with different levels of risk against a benchmark. If an asset shows a lower risk than the overall market, any return on the asset above the risk-free rate will be considered a gain. ...
Description: Peru: Country risk at 167 basis points 17:27 | Lima, Jun. 7. The EMBIG Peru spread registered 167 bps, while the EMBIG Latin America spread dropped 10 bps to 363 bps between May 26 and June 2, the Central Reserve Bank (BCR) has reported.
Description: Infections caused by the toxigenic strains of Clostridioides difficile in the hospital environment pose a serious public health problem. The progressive increase in hospital infections in Poland indicates that risk management is a tool that is not used in an effective way and significantly differs from the goals set by the Leading Authorities, the Ministry of Health and its subordinate units.
Description: Pathophysiological Basis and Rationale for Early Outpatient Treatment of SARS-CoV-2 (COVID-19) Infection Am J Med. 2021 Jan;134(1):16-22. doi: 10.1016/j.amjmed.2020.07.003. Epub 2020 Aug 7. Authors Peter A McCullough 1 ...
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