What Is?
|
| Market Risk |
 |
IFCI |
| Interest Rate Risk |
 |
IFCI |
| Credit Risk |
|
IFCI |
| Settlement Risk |
 |
IFCI |
| Capital Adequacy |
 |
IFCI |
| Cash |
 |
AFMA |
| Repo (Repurchase), Reverse Repo, Buy / Sell Back, Sell / Buy Back |
 |
AFMA |
| Bills, Certificate of Deposits, Promissory Notes, Treasury Notes |
 |
AFMA |
| Bonds, Debt or Fixed Interest Securities |
 |
AFMA |
| Floating Rate Notes (FRNs), Indexed Securities, Commercial Paper, Debentures |
 |
AFMA |
| Floating Rate Agreements (FRAs) |
 |
AFMA |
| Equity and Index Options, Index LEPOs, Warrants, Equity Options |
 |
ASX |
90 Day Bank Bill Futures
and Options
3 Year Bond Futures and Options
10 Year Bond Futures and Options
Share Price Index 200 Futures
and Options
Share and Other Futures |
 |
SFE |
| Swaps - Interest Rate, Cross Currency |
 |
AFMA |
| Interest Rate Options - Caps, Floors, Swaptions, Bond Options |
 |
AFMA |
| Foreign Exchange (FX) - Spot, Forward, Swap |
 |
AFMA |
| Foreign Exchange Options - Put, Call, Barrier, Exotics |
 |
AFMA |