finansmarkedsrisiko
Finansmarkedsrisiko refers to the risk of losses in financial investments due to factors that affect the overall performance of financial markets. This broad category encompasses several sub-types of risk that market participants must consider.
Market risk, also known as systematic risk, is the risk inherent to the entire market or a
Interest rate risk is a specific component of market risk that arises from potential changes in interest
Currency risk, or exchange rate risk, relates to the potential for losses due to adverse movements in
Commodity risk pertains to the volatility in prices of raw materials like oil, gold, and agricultural products.
Equity risk, or stock market risk, is the risk that the value of stocks or stock market
Understanding and managing finansmarkedsrisiko is crucial for investors, businesses, and financial institutions to protect their capital