Quartet FS: Société Générale Corporate And Investment Banking: How We Monitor Market Risk

It is no secret that monitoring market risk can vary greatly between financial institutions. For Société Générale Corporate & Investment Banking (SG CIB), this process is centralised, with a team dedicated to certifying and analysing approximately 100 different measures every day, all of which are associated with the scope of market risk.

The process involves all types of market risk across geographies — including rates, corporate stocks, inflation and credit — as well as all departments

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