Template:Financial risk: Difference between revisions
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m Reverted unexplained removal of content (HG) |
MicioGeremia (talk | contribs) moved subcategories (reputational and volatility risk) under their corresponding categories (operational and market risk) |
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|group2 = [[Market risk]] |
|group2 = [[Market risk]] |
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|list2 = [[Interest rate risk]]{{·}} [[Currency risk]]{{·}} [[Equity risk]]{{·}} [[Commodity risk]] |
|list2 = [[Interest rate risk]]{{·}} [[Currency risk]]{{·}} [[Equity risk]]{{·}} [[Commodity risk]]{{·}} [[Volatility risk]] |
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|group3 = [[Liquidity risk]] |
|group3 = [[Liquidity risk]] |
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|group4 = [[Operational risk]] |
|group4 = [[Operational risk]] |
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|list4 = [[Operational risk management]]{{·}} [[Legal risk]]{{·}} [[Political risk]] |
|list4 = [[Operational risk management]]{{·}} [[Legal risk]]{{·}} [[Political risk]]{{·}} [[Reputational risk]] |
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|list5 = |
|list5 = [[Settlement risk]]{{·}} [[Profit risk]]{{·}} [[Systemic risk]] |
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}} |
}} |
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