Diversification and FMI: Difference between pages

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imported>Doug Williamson
m (Category added 9/10/13 and spacing)
 
imported>Doug Williamson
(Create the page. Source: Bank of England's supervision of financial market infrastructures - Annual Report March 2014, p6: http://www.bankofengland.co.uk/publications/Pages/fmi/default.aspx)
 
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''Risk management.''
''UK financial market regulation.''


The process of spreading risk such that no single event can have a catastrophic effect.
Financial Market Infrastructure.


Often referred to as 'Don't put all your eggs in the same basket'.
In corporate finance the term is often used to mean the process of ensuring that an investment portfolio is constructed such that all possible specific risk (diversifiable risk) is eliminated.




== See also ==
== See also ==
* [[Portfolio]]
*[[Financial Market Infrastructure]]
* [[Specific risk]]


[[Category:Managing_Risk]]
[[Category:Cash_management]]

Revision as of 13:01, 18 March 2014

UK financial market regulation.

Financial Market Infrastructure.


See also