Managing Market Risks Guideline


Created 28 Mar, 2008
Categories Guidelines
Views: 916
Print
Share
The Central Bank of Barbados (Bank), in furtherance of its responsibility for the regulation and supervision of licensees under the Financial Institutions Act 1996-16 and the International Financial Services Act 2002-5, has developed this Guideline on the management of market risks to encourage licensees to strengthen their processes for identifying, monitoring and mitigating market risks.

Managing_Market_Risks_Guideline.pdf (0 Bytes)
Copyright 2019 by Central Bank of Barbados