NEW RISK PARAMETERS WILL BE ESTABLISHED FOR FINANCIAL INSTRUMENTS FROM DECEMBER 17, 2024

10.12.24 17:01
/KACC, December 10, 2024/ – KASE Clearing Centre (KACC) announces that the KACC Market Risk Committee has decided to establish new risk parameters for market risk on financial instruments of the stock market, foreign exchange market and derivatives market for the period from December 17, 2024 to March 15, 2025. KACC also reports that new risk parameters for stress will be established to determine the amount of collateral for the execution of net obligations for transactions with financial instruments on the stock and foreign exchange markets, contributed by a clearing participant as stress collateral for the period from December 17, 2024 to January 15, 2025. You can find the new risk parameters at https://kacc.kase.kz/ru/risk-parameters/ [2024-12-09]