Introduction
RISK MANAGEMENT PRINCIPLES
1 Framework For Risk Management
MARKET RISK
2 Market Risk Measurement—Value at Risk Models
3 Stress Testing
4 Portfolio Valuation/Mark-To-Market
CREDIT RISK
5 Derivative Credit Risk: Measurement
6 Derivative Credit Exposure: Management & Credit Enhancement
7 Derivative Product Companies
OTHER RISKS
8 Liquidity Risk
9 Model Risk
10 Operational Risk
ORGANISATION OF RISK MANAGEMENT
11 Risk Management Function
12 Risk Adjusted Performance Management
OPERATIONAL ASPECTS
13 Operational, Systems & Technology Issues
14 Legal Issues and Documentation
15 Accounting Issues
16 Taxation Aspects of Swaps and Financial Derivatives
REGULATORY ASPECTS OF DERIVATIVES
17 Credit Risk: Regulatory Framework
Appendix: Basle II
18 Market Risk: Regulatory Framework
Appendix: Basle 1996
Index