Chapter 2 – Basic of Forex Derivatives

Risk in forex Operations

  1. Exchange Risk – Movement in Exchange Rate
  • Transaction Exposure
  • Translation Exposure
  • Operating / Economic Exposure
  1. Settlement Risk
  • Pre Settlement Risk –> Not an absolute risk for the bank
  • Post Settlement Risk –> Complete risk and loss for the bank

   Avoid By – Settlement System, Operation on single time basic, RTGS basic

  1. Liquidity Risk
  • Mismatch in maturity pattern of Assets and Liability

   Avoid By – Control on mismatch

  1. Country Risk / Sovereign Risk
    • Reduce by disclaimer clauses in contract and subject to third country jurisdiction
    • Fixed county wise exposure limits
  1. Interest Rate Risk
  • Interest rate risk arises due to adverse movement of interest rates

    Avoid By – Derivative Product like interest rate swaps, Currency swaps & Forward Rate agreements

  1. Operational Risk
    • Control by State of art system, Contingency plan, Disaster control / Recovery procedures, Back-up arrangement for man and machine and Monitoring duplication at different site
  1. Legal Risk
  • Non Compliance of government guidelines and wrong understanding of rules
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