Earnings at risk and Rating grid: Difference between pages

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''Risk management.''
A summary showing the relationship between the criteria used to determine a credit rating, and the credit ratings assigned.


(EaR or EAR).
Also sometimes known as a ratings grid.


A value at risk measure which identifies the worst-case result for an organisation in earnings (profit) terms, which the organisation can be confident of not doing worse than, at the given level of confidence and assuming the modelling assumptions are valid for the entire forecast period.




== See also ==
== See also ==
*[[Cash flow at risk]]
*[[Earnings]]
*[[Earnings per share]]
*[[Risk management]]
*[[Value at risk]]


[[Category:Identify_and_assess_risks]]
* [[Pricing grid]]
* [[Credit rating]]
 
[[Category:Financial_risk_management]]

Revision as of 15:58, 2 May 2018

A summary showing the relationship between the criteria used to determine a credit rating, and the credit ratings assigned.

Also sometimes known as a ratings grid.


See also