Measuring the interest rate and exchange rate risk of a commercial bank's portfolio
Ahlstedt, Monica (15.08.1990)
JulkaisusarjaBank of Finland Research Discussion Papers
JulkaisijaBank of Finland
Julkaisun pysyvä osoite onhttps://urn.fi/URN:NBN:fi:bof-201807311808
The Bank of Finland, in accordance with its regulations, is responsible for the stability of the financial markets. The main actors in the Finnish financial markets are fourteen authorized foreign,exchange banks. The Bank of Finland has therefore set up a risk monitoring system to measure the'risk exposures taken by these banks.