1994-12-19
Added · Updated
The Hong Kong Monetary Authority issued these guidelines to establish risk management standards for derivatives within the banking sector. The document mandates that all authorized institutions implement robust credit and market risk management frameworks for derivative transactions. It incorporates annexes containing specific guidelines from both the Hong Kong Monetary Authority and the Basel Committee on Banking Supervision to ensure comprehensive regulatory compliance.
GLI
Current
Guideline Number: 12.1
Issue Date:
19 Dec 1994
19941219-4-EN.pdf (12.8 KB)
Topic:
Credit Risk Management - CCR
Market Risk Management - Others
Miscellaneous - BCBS
Group:
All Authorized Institutions
Directly related Document
Cross referenced Document
Version History
Superseded Document
Directly related Document
Annex
Current
19 Dec 1994
Annex A - Risk Management Guidelines for Derivatives issued by Hong Kong Monetary Authority
Annex
Current
19 Dec 1994
Annex B - Risk Management Guidelines for Derivatives issued by Basle Committee on Banking Supervision
Annex
Current
19 Dec 1994
Annex A - Risk Management Guidelines for Derivatives issued by Hong Kong Monetary Authority
Annex
Current
19 Dec 1994
Annex B - Risk Management Guidelines for Derivatives issued by Basle Committee on Banking Supervision
Cross referenced Document
Version History
Superseded Document
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