Market in crypto-assets and Market risk: Difference between pages

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imported>Doug Williamson
(Create page - source - Europa webpage - https://data.consilium.europa.eu/doc/document/PE-54-2022-INIT/en/pdf)
 
imported>Doug Williamson
(Mend link.)
 
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''Cryptoassets - regulation - European Union (EU).''
1. ''Risk management.''


(MiCA).
(MR).


The global market in cryptoassets.
The risk of losses or other adverse effects resulting from adverse changes in market prices or from unfavourable market conditions including market disruption or new and burdensome regulation.


Among others, the EU is consulting on developing appropriate regulation for markets within its jurisdiction.


2. ''Financial reporting - international accounting standards.''


IFRS 7 defines market risk as the risk that the fair value or future cash flows of a financial instrument will fluctuate because of changes in market prices.
Market risk comprises three types of risk: currency risk, interest rate risk and other price risk.
3. ''Capital asset pricing model.''
In the Capital asset pricing model (CAPM) 'market risk' is an alternative name for systematic risk.




== See also ==
== See also ==
* [[Cryptoassets]]
* [[Beta]]
* [[European Union]]  (EU)
* [[Capital asset pricing model]]
* [[Jurisdiction]]
* [[Currency risk]]
* [[Market]]
* [[Financial market risk]]
* [[Regulation]]
* [[Financial reporting]]
* [[Fractal markets hypothesis]]
* [[Interest rate risk]]
* [[International Accounting Standards]]
* [[IFRS 7]]
* [[IRRBB]]
* [[Legal risk]]
* [[Liquidity risk]]
* [[Market price risk]]
* [[Market Risk in the Banking Book]]  (MRBB)
* [[Market risk premium]]  (MRP)
* [[Operational risk]]
* [[Price risk]]
* [[Risk]]
* [[Risk management]]
* [[Specific risk]]
* [[Systematic risk]]


[[Category:Accounting,_tax_and_regulation]]
[[Category:The_business_context]]
[[Category:Identify_and_assess_risks]]
[[Category:Manage_risks]]
[[Category:Manage_risks]]
[[Category:Risk_frameworks]]
[[Category:Risk_reporting]]
[[Category:Cash_management]]
[[Category:Financial_products_and_markets]]
[[Category:Liquidity_management]]
[[Category:Technology]]

Revision as of 08:55, 24 June 2022

1. Risk management.

(MR).

The risk of losses or other adverse effects resulting from adverse changes in market prices or from unfavourable market conditions including market disruption or new and burdensome regulation.


2. Financial reporting - international accounting standards.

IFRS 7 defines market risk as the risk that the fair value or future cash flows of a financial instrument will fluctuate because of changes in market prices.

Market risk comprises three types of risk: currency risk, interest rate risk and other price risk.


3. Capital asset pricing model.

In the Capital asset pricing model (CAPM) 'market risk' is an alternative name for systematic risk.


See also