Risk Management, Legislation and Compliance
Yapı Kredi Asset Management is well aware of the importance of risk management as evidenced by the synchronization of its state-of-the-art systems with its investment process. The Company follows intensive and well-defined risk management procedures.
- Portfolio Performance and Benchmark Reporting: Daily monitoring of returns (Funds, Benchmarks and Adjusted Benchmark returns)
- Monitoring of Risk Indicators and Realized Portfolio Risk
- Monitoring of Investment Committee Decisions and Management Principles: (Pre-trade controls (PTC) and Position reports
- Control of Stop Loss Limits
- Regulatory and Legal Compliance Checks
- Peer Group Performance Reports for all Managed Funds