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30 September 2010
Circulaire CBFA_2010_21/ Gestion du risque de liquidité
08 May 2009
Circulaire CBFA_2009_18/ Gestion du risque de liquidité
20 December 2006
Circulaire PPB-2006-17-CPB/ Gestion du risque de taux d'intérêt lié aux activités autres que celles de négociation, gestion du risque de liquidité et gestion du risque de concentration sectorielle
07 December 2001
Opérations monétaires et de change (clarification de certains principes)
02 October 1997
Principles for the Management of Interest Rate Risk
15 April 1996
Risque de taux d’intérêt général
01 September 1994
Risk Management Guidelines for Derivatives
08 February 1993
Opérations monétaires et de change (précisions relatives à l’article 16 de l’AR du 25.11.91)
30 November 1992
Transactions on the money and foreign exchange markets (adaptation of the rules)
PDF
17 April 1990
Transactions on the money and foreign exchange markets (coordinated text of the rules relating to the organization and the monitoring of foreign exchange markets)
PDF
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