Credit concentration risk: Difference between revisions
From ACT Wiki
Jump to navigationJump to search
imported>Doug Williamson (Create the page. Sources: linked pages.) |
imported>Doug Williamson (Add link.) |
||
(2 intermediate revisions by the same user not shown) | |||
Line 4: | Line 4: | ||
==See also== | ==See also== | ||
*[[Concentration]] | *[[Concentration]] | ||
*[[ | *[[Concentration risk]] | ||
* [[Credit]] | |||
*[[Credit risk]] | *[[Credit risk]] | ||
[[Category:Financial_risk_management]] |
Latest revision as of 11:57, 6 July 2022
Exposure to credit losses from holding too narrow a range of investment assets.