Market Risk Management at JP Morgan Chase
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Please note:
This case study was compiled from published sources, and is intended to be used as a basis for class discussion. It is not intended to illustrate either effective or ineffective handling of a management situation. Nor is it a primary information source.
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Case Details:
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Price: |
Case Code |
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FINA023 |
For delivery in electronic format: Rs.
300; For delivery through courier (within India): Rs.
300 + Shipping & Handling Charges extra
ThemesMarket risk management |
Case Length |
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10 Pages |
Period |
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2001 - 2004 |
Pub. Date |
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2005 |
Teaching Note |
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Not Available |
Organization |
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Industry |
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Banking &
Financial Services |
Countries |
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US |
Abstract:
JP Morgan Chase, the second largest financial services company in the US, is
exposed to market risk through its lending, trading and capital market
activities.
JP's market risk management practices are designed to preserve the
independence and integrity of the risk assessment process.
JP has taken various
steps to identify measure and mitigate risks. The case deals with JP's market
risk management in detail.
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Contents:
Keywords:
JP Morgan Chase, Chase Manhattan, Market Risk at JP Morgan
Chase, Trading and Non Trading Risk at JP Morgan Chase, Risk Identification for
large exposures, Value at Risk at JP Morgan chase, Stress testing, Earnings at
Risk stress testing and Risk Reporting at JP Morgan chase
Market Risk Management at JP Morgan Chase
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