Risk Parameters Change
This is to inform you that the new risk parameters will be applied on all the markets starting from 8 June, 2015:
- FX and Precious Metals Market Risk Parameters
- Equities Risk Parameters
- Bonds Risk Parameters
- Derivatives Market Risk Parameters
- FX risk rate will be changed for Standardized Derivatives market from 11% to 9%
For further information, please contact the Public Relations Department at (495) 363-3232.