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  • ...ce is insurance which is bought by an insurance company, to manage its own risks. ...
    191 bytes (24 words) - 08:13, 2 July 2022
  • ...tary collections can provide some measure of protection against commercial risks of this kind. More generally, commercial risks are risks arising directly from, or in the context of, the commercial activities of t ...
    1 KB (139 words) - 14:29, 28 February 2018
  • Rewarded and unrewarded risk can be a useful way to analyse risks. ...systems failure, fire, theft or human error, all of which may be costly to manage, and which there is no direct return for taking. ...
    2 KB (234 words) - 01:19, 16 August 2021
  • ...erstanding of the impact of the particular scheme on each of the financial risks affected by the netting process. ...both the incentives and the capabilities to manage and contain each of the risks they bear and that limits are placed on the maximum level of credit exposur ...
    2 KB (240 words) - 01:16, 27 January 2024
  • ...rstand, quantify and manage the carbon and climate change related impacts, risks and opportunities in our investments, it is integral to measure our carbon ...
    2 KB (204 words) - 13:40, 8 August 2019
  • ...ompanies, cities and other entities to measure, manage and report on their risks and opportunities relating to climate change, water security and deforestat ...
    1 KB (145 words) - 08:36, 1 February 2024
  • ...re more seasonal are exposed to greater seasonal risks, which they need to manage appropriately. ...
    1 KB (144 words) - 21:12, 21 November 2023
  • ...and forward-looking way by identifying, assessing, managing and monitoring risks and opportunities associated with environmental, social and governance issu ...e awareness of environmental, social and governance issues, manage related risks and develop solutions. ...
    2 KB (269 words) - 21:14, 9 July 2022
  • :Schemes have been using LDI to manage their funding risk. This is because it causes their asset value to move in ...leverage levels remain within pre-agreed ranges to manage the operational risks of using leverage." ...
    2 KB (315 words) - 21:08, 10 November 2023
  • ...expectations away from the risks firms face, to also consider and look to manage the potential harm firms can pose to consumers and markets... ...
    1 KB (177 words) - 13:12, 20 November 2023
  • *Enhance the role of the financial system to manage risks and to mobilise capital for green and low-carbon investments in the broader ...
    1 KB (167 words) - 22:48, 11 March 2023
  • ...transaction succeeds or fails as a single, indivisible unit, reducing the risks of partial or incomplete transactions. ...may be favourable for users, it is likely to spark regulatory pushback to manage fraud and money laundering." ...
    1 KB (162 words) - 02:05, 28 February 2024
  • Certain central bank activities to manage systemic risks to financial markets. ...
    1 KB (168 words) - 16:54, 2 May 2022
  • CPI fixing swaps are used to manage CPI inflation risk. Like other capital market swaps, they are settled net, and subject to risks including their relative technical complexity, collateral calls, volatile m ...
    1 KB (192 words) - 08:20, 22 June 2023
  • ...y in Corporate Finance aims to help businesses understand and manage cyber risks during a corporate finance transaction... ...
    2 KB (261 words) - 05:07, 2 February 2024
  • ''Climate change - financial risks - climate transition risk - UN - International Labour Organization (ILO) - :The greening of economies will enhance our ability to manage natural resources sustainably, increase energy efficiency and reduce waste, ...
    2 KB (241 words) - 07:54, 2 June 2022
  • * Is accordingly subject to additional regulation, to manage the related risks. ...
    2 KB (287 words) - 13:04, 18 January 2024
  • ...that the financial sector can measure and manage climate-related financial risks. ...
    2 KB (306 words) - 10:05, 22 March 2023
  • For this reason it is a very important risk to manage and compensate for. :Risks are specific uncertainties that arise from activities such as forecasting o ...
    3 KB (348 words) - 16:46, 20 February 2024
  • Consequently, in its broadest terms, liquidity risk includes all the risks that adversely affect liquidity management, i.e. that impact the organisati ...s need to understand the business model of their organisations to properly manage liquidity risk. ...
    3 KB (409 words) - 23:29, 17 March 2023
  • In order to manage their emerging market currency exposures as effectively as possible, compan Buyers are looking to manage the risk associated with their costs. By hedging costs which are denominate ...
    10 KB (1,536 words) - 13:59, 24 October 2016
  • ...oth legally and financially, as well as to their reputation. What is more, risks will continue to grow as companies increasingly globalise their operations. ...rehensive travel risk management programme to understand and deal with the risks faced by business travellers. In this respect, using the services of a trav ...
    10 KB (1,455 words) - 12:55, 27 July 2015
  • ...fy and manage their natural capital and environmental impacts plus related risks can present themselves positively to both the investment community and othe ...
    4 KB (546 words) - 08:09, 27 October 2022
  • ...confidence is really needed. It also gives the authorities more options to manage stresses when they occur, by reducing the likelihood that taxpayers will en :<span style="color:#4B0082">'''''Only well justified confidence about the risks of powerful AI systems is enough to continue their development'''''</span> ...
    8 KB (1,061 words) - 22:48, 28 February 2024
  • ...f the hedging instruments (generally derivatives) and how they are used to manage risk. However, hedge accounting continues to be voluntary and remains an ex ...s that the entity is exposed to and how the entity intends to manage those risks. ...
    38 KB (6,069 words) - 14:16, 21 March 2018
  • ...n and increasingly treasury must come out of its silo and manage financial risks in the context of the firm. Enterprise Risk Management (ERM) facilitates th ...ore cautious, conservative and prudent than others, and will try to manage risks down to a lower level of exposure; ...
    48 KB (7,789 words) - 21:07, 25 April 2022
  • Historically it has been difficult for corporates to manage their operations across Africa both in multiple countries and regionally. E ...ng practices and procedures in place so that they can manage the financial risks as effectively as possible. ...
    21 KB (3,185 words) - 12:44, 22 February 2018
  • ...Indeed, in many surveys of treasurers, it is cited as one of the top three risks facing the treasurer or company. That’s not to say that the subject was n ...unterparty risk arises, how we might measure it and, finally, how we might manage it. ...
    14 KB (2,221 words) - 15:48, 11 November 2015
  • ...urity and customer protection as customers increasingly use smartphones to manage their bank accounts and make and receive payments. * Build the capability to recognise risks and respond to them quickly and effectively. Think ahead – try to anticip ...
    9 KB (1,393 words) - 07:49, 24 October 2016
  • ...ment strategy. Treasurers should first and foremost be aware of the latest risks and understand the very high likelihood that the company will be the target ...the breach, pass the details over to law enforcement officers and closely manage media coverage, enabling the business to continue to prosper. If, on the ot ...
    7 KB (1,060 words) - 14:03, 24 October 2016
  • ...every day. The challenge for treasurers in Asia is to manage the financial risks of corporate expansion while moving ever closer to global best practices, a ...ents carefully, seeking to manage the attendant interest and currency rate risks. ...
    20 KB (2,938 words) - 15:04, 23 March 2016
  • ...tic obstacles, including lower commodity prices and new types of financial risks, to ensure strong and sustainable growth. The region’s dependence on comm ...le, each country has unique rules and regulations. While it is possible to manage some processes centrally, the requirements of every individual market must ...
    22 KB (3,302 words) - 12:42, 22 February 2018
  • ...out how they can do this, although they need to recognise any reputational risks on taking such appointments, and ensure that they are ethical, profitable c ...cutive on the board have the expertise or qualifications to understand the risks and risk management practices of the group for which the treasurer is usual ...
    31 KB (4,690 words) - 11:40, 7 December 2022
  • ...erations. Once expected benefits have been mapped to these objectives, the risks in not making the technology investment can overshadow financial cost savin ...ce IT costs? Is it to create a future-ready enterprise? Or is it to manage risks effectively? All of the above are variables that drive the decision-making ...
    26 KB (3,908 words) - 17:56, 15 November 2016
  • ...and, if required, setting higher capital requirements to counter financial risks. ...ks a full service, independent from other commercial providers in order to manage their Intraday-Liquidity. ...
    21 KB (3,030 words) - 21:05, 25 April 2022
  • * payment risks, eg settlement (credit) risk, counterparty risk and risk of misappropriatio ...structures. Where cash is a significant form of payment, companies need to manage large cash receipts both efficiently and effectively and many use security ...
    60 KB (9,638 words) - 12:12, 7 December 2022
  • ...of identifying, monitoring and taking action to remove or reduce systemic risks with a view to protecting and enhancing the resilience of the UK financial * The swap covers indirect risks. ...
    52 KB (7,885 words) - 23:01, 19 October 2022
  • ...and, if required, setting higher capital requirements to counter financial risks. ...oan and credit transactions and, in addition to this function, assumes the risks of liquidity, which arises when maturities are transformed, and of borrower ...
    45 KB (6,678 words) - 14:49, 21 November 2017
  • ...ions and the US financial system by identifying, monitoring and addressing risks to the deposit insurance funds. The FDIC is also the primary federal regula ...Council (FSOC) – has been created. The purpose of the FSOC is to identify risks to US financial stability arising from ongoing activities of large, interco ...
    65 KB (9,664 words) - 13:46, 27 April 2022
  • ...ce process is much more rigorous because of the perceived higher liability risks and the consequent higher disclosure requirements and can significantly inc and manage the process of issuing ...
    53 KB (8,353 words) - 21:06, 25 April 2022