KACC has set risk parameters for financial instruments in the stock, currency and derivatives markets

16.09.24 14:18
/KACC, September 16, 2024/ – KASE Clearing Centre (KACC) reports that risk parameters have been set for financial instruments of the stock market, foreign exchange market and derivatives market for the period from September 16 to December 15, 2024. At the same time, for debt securities of the stock market, the validity of the risk parameters established before September 16, 2024, has been extended until October 13, 2024; the newly established risk parameters for these financial instruments will be valid from October 14 to December 15, 2024. The current risk parameters can be found on KACC's Internet resource at https://kacc.kase.kz/en/risk-parameters/ [2024-09-16]