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RBA Glossary definition for credit risk/exposure

credit risk/exposure – The risk that a counterparty will not settle an obligation for full value, either when due or thereafter. In 'exchange-for-value' systems, the risk is generally defined to include replacement risk (the risk of having to replace a contract at a potentially unfavourable price) and principal risk.

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Note 15 – Financial Instruments and Risk | Financial Statements

12 Sep 2014 RBA Annual Report – 2014
The RBA's maximum credit risk exposure in relation to derivative financial instruments is:. ... Concentration of credit risk. As noted, the RBA operates to minimise its credit risk exposure through comprehensive risk management policy guidelines.
https://www.rba.gov.au/publications/annual-reports/rba/2014/fin-statements/note-15.html

Note 15 – Financial Instruments and Risk | Financial Statements

16 Oct 2015 RBA Annual Report – 2015
The RBA's maximum credit risk exposure in relation to derivative financial instruments is:. ... Concentration of credit risk. As noted, the RBA operates to minimise its credit risk exposure through comprehensive risk management policy guidelines.
https://www.rba.gov.au/publications/annual-reports/rba/2015/fin-statements/note-15.html

Note 15 – Financial Instruments and Risk | Financial Statements

25 Sep 2017 RBA Annual Report – 2017
The RBA's maximum credit risk exposure to derivative financial instruments is:. ... Concentration of credit risk. As noted, the RBA operates to minimise its credit risk exposure through comprehensive risk management policy guidelines.
https://www.rba.gov.au/publications/annual-reports/rba/2018/financial-statements/note-15.html

Note 15 – Financial Instruments and Risk | Financial Statements

25 Oct 2010 RBA Annual Report – 2010
The RBA's maximum credit risk exposure in relation to off-balance sheet items is:. ... Concentration of credit risk. As noted, the RBA operates to minimise its credit risk exposure through comprehensive risk management policy guidelines.
https://www.rba.gov.au/publications/annual-reports/rba/2010/fin-statements/note-15.html

Note 15 – Financial Instruments and Risk | Financial Statements

29 Aug 2011 RBA Annual Report – 2011
The RBA's maximum credit risk exposure in relation to off-balance sheet items is:. ... Concentration of credit risk. As noted, the RBA operates to minimise its credit risk exposure through comprehensive risk management policy guidelines.
https://www.rba.gov.au/publications/annual-reports/rba/2011/fin-statements/note-15.html

Note 15 – Financial Instruments and Risk | Financial Statements

10 Sep 2012 RBA Annual Report – 2012
The RBA's maximum credit risk exposure in relation to derivative financial instruments is:. ... Concentration of credit risk. As noted, the RBA operates to minimise its credit risk exposure through comprehensive risk management policy guidelines.
https://www.rba.gov.au/publications/annual-reports/rba/2012/fin-statements/note-15.html

Note 15 – Financial Instruments and Risk | Financial Statements

16 Oct 2013 RBA Annual Report – 2013
The RBA's maximum credit risk exposure in relation to derivative financial instruments is:. ... Concentration of credit risk. As noted, the RBA operates to minimise its credit risk exposure through comprehensive risk management policy guidelines.
https://www.rba.gov.au/publications/annual-reports/rba/2013/fin-statements/note-15.html

International Financial Co-operation

25 Oct 2010 RBA Annual Report – 2010
international banking; the role of margin requirements and haircuts in procyclicality; macroprudential instruments and frameworks; and credit risk transfer statistics. ... introducing two new measures of liquidity risk exposure developed for
https://www.rba.gov.au/publications/annual-reports/rba/2010/intl-fin-coop.html

Note 15 – Financial Instruments and Risk

17 Oct 2019 RBA Annual Report – 2019
The RBA's maximum credit risk exposure to derivative financial instruments is. ... Concentration of credit risk. As noted, the RBA operates to minimise its credit risk exposure through comprehensive risk management policy guidelines.
https://www.rba.gov.au/publications/annual-reports/rba/2019/financial-statements/note-15.html

Economic and Financial Developments in 1981/82 | Reserve Bank of Australia Annual Report - 1982

30 Jun 1981 Annual Report
By agreement, trading banks also observe minimum liquidity ratios. In recent years there has been a trend in most countries for banks' capital positions to weaken and for their risk exposure ... It is not possible to summarise capital adequacy by a
https://www.rba.gov.au/publications/annual-reports/rba/1982/eco-fin-developments.html