1996-03-27
Added · Updated
The Hong Kong Monetary Authority issued this guideline on March 27, 1996, to establish risk management standards for derivatives and other traded instruments. It applies to all authorized institutions and addresses credit risk management and market risk management requirements. The document serves as a foundational regulatory framework for managing risks associated with these financial instruments.
GLI
Current
Guideline Number: 12.2
Issue Date:
27 Mar 1996
19960327-2-EN.pdf (87.6 KB)
Topic:
Credit Risk Management - CCR
Market Risk Management - Others
Keyword:
Group:
All Authorized Institutions
Directly related Document
Cross referenced Document
Version History
Superseded Document
Directly related Document
GLI
Current
27 Mar 1996
Guideline on Risk Management of Derivatives and Other Traded Instruments
GLI
Current
27 Mar 1996
Guideline on Risk Management of Derivatives and Other Traded Instruments
Cross referenced Document
Version History
Superseded Document
You may also be interested in
SPM-NGL
Current
03 Jul 2018
CR-G-13 Counterparty Credit Risk Management
CIR
Current
03 Jun 2021
Implementation guidance on counterparty credit risk capital standard
Enclosure: Q&As on exposures to counterparty credit risk and central counterparties
GLI
Current
19 Dec 1994
Risk management guidelines for derivatives
Annex A: Risk Management Guidelines for Derivatives issued by Hong Kong Monetary Authority