Margin (Finance)

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High Quality Content by WIKIPEDIA articles! In finance, a margin is a collateral that the holder of a position in securities, options, or futures contracts has to deposit to cover the credit risk of his counterparty (most often his broker). This risk can arise if the holder has done any of the following: borrowed cash from the counterparty to buy securities or options, sold securities or options short, or entered into a futures contract. The collateral can be in the form of cash or securities, and it is deposited in a margin account. On U.S. futures exchanges, "margin" was formally called performance bond.

Weitere Informationen

  • Allgemeine Informationen
    • GTIN 09786130779825
    • Editor Frederic P. Miller, Agnes F. Vandome, John McBrewster
    • EAN 9786130779825
    • Format Fachbuch
    • Titel Margin (Finance)
    • Herausgeber Alphascript Publishing
    • Anzahl Seiten 84
    • Genre Wirtschaft

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