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Derivatives Essay question

I don’t whether CFAI would like to go this obscure. But atleast did not want to get blindsighted
How do you Manage market Risk vs. Credit Risk. Give 3 methods for each

Market risk managed by:
a) Futures
b) Forwards
c) Swaps
Credit Risk managed by:
a) binary options
b) credit spread forwards
c) credit default swaps.

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Managing Market Risk
- position limits
- liquidity limits
- performance stop outs
- fund allocation optimally
- risk factor limits
Managing Credit Risk
- limiting exposure to single party
- marking to market
- collateral
- netting
- setting credit standards
- transfering credit risk through derivatives

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