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Chart 20. VaR figures for market risk in the Bank of Finland’s financial assets in 2020
The total market risk associated with the Bank’s financial assets (Value-at-Risk 99%, 1 day) varied between EUR 52 million and EUR 176 million in 2020.
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Management of financial assets
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Original (svg)(Chart 20. VaR figures for market risk in the Bank of Finland’s financial assets in 2020) Conversion (jpg)(Chart 20. VaR figures for market risk in the Bank of Finland’s financial assets in 2020)