Market Risk Management
Market Risk involves the risk that prices or rates will adversely
change due to economic forces. Such risks include adverse effects of
movements in equity and interest rate markets, currency exchange rates
and commodity prices. Market risk can also include the risks associated
with the cost of borrowing securities, dividend risk and correlation
risk.
Positions we promote and recruit for include:
Chief Risk Officer,
Market Risk Director,
Market Risk Analyst,
Market Risk Specialist,
Model Review Analyst,
Structured Finance Risk Analyst,
Equity Risk
Analyst,
Fixed Income Risk Analyst,
Foreign Exchange Risk Analyst,
Commodity Analyst.
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