analytical value-at-risk


analytical value-at-risk
сокр. analytical VaR фин. аналитическая [корреляционная, параметрическая, вариационно-ковариационная\] сумма под риском* (показатель, характеризующий возможность уменьшения стоимости финансового инструмента, инвестиционного портфеля или собственного капитала, либо доходов от инвестиций в результате неблагоприятного изменения процентных ставок; расчет основан на оценке чувствительности к риску отдельных элементов портфеля (отдельных активов), взаимосвязи между отдельными элементами и использовании специальных матриц для расчета волатильности)
Syn:

Англо-русский экономический словарь.

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