返回列表 发帖
That question sucks. The answer is pretty unclear and subjective.

TOP

q) In keeping with industry standards, primary means of managing credit risk

choices are

Posting collateral
periodic marking to market
limiting the total exposure to a given counterparty



Edited 1 time(s). Last edit at Tuesday, May 31, 2011 at 11:44PM by lowonmemory.

TOP

返回列表