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Treasury Finland

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kivikko

Risk management

The aim of the risk management is to identify, analyse and control the risks involved in debt management, and thus to ensure the uninterrupted continuity of operations. The main risk factors in the debt management are financing risk, market risks, credit risk and operating risk.

Framework

The risk limits and other framework that are followed in debt management are set out in the form of written guidelines from the Ministry of Finance.


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Page last updated 12/30/2009 1:24 PM and the page was published on 3/9/2007 10:08 AM