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    Commercial Banking The Management of Risk
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    Exam 5: An Overview of Assetliability Management Alm
  5. Question
    One Method of Dealing with the Problem of Imperfect Correlation
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One Method of Dealing with the Problem of Imperfect Correlation

Question 26

Question 26

True/False

One method of dealing with the problem of imperfect correlation of market interest rates with portfolio interest rates is the use of the standardized gap.

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