Multiple Choice
What would be the strategy for a bank if it is unable to speculate on interest rates and/or unable to absorb market risk?
A) to run a zero gap
B) to hold more interest rate sensitive assets than interest rate sensitive liabilities
C) to reduce the size of the balance sheet
D) to hold fewer interest rate sensitive assets than interest rate sensitive liabilities
Correct Answer:

Verified
Correct Answer:
Verified
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