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Component: FIN-FSCM-TRM-MR
Component Name: Market Risk Analyzer
Description: Market risk key figures cover the key figures of net present value analysis and sensitivity analysis calculated for financial objects.
Key Concepts: Market risk key figure is a term used in the SAP FIN-FSCM-TRM-MR Market Risk Analyzer component. It is a numerical value that represents the risk associated with a particular market or financial instrument. It is used to measure and analyze the potential losses or gains of an investment. How to use it: The market risk key figure can be used to assess the risk of an investment and make informed decisions about whether or not to invest in a particular market or financial instrument. It can also be used to compare different investments and determine which one has the lowest risk. Tips & Tricks: When using the market risk key figure, it is important to remember that it is only one factor in assessing the risk of an investment. Other factors such as liquidity, volatility, and leverage should also be taken into consideration. Additionally, it is important to remember that the market risk key figure is only an estimate and should not be relied upon as a definitive measure of risk. Related Information: The market risk key figure is closely related to other financial terms such as volatility, liquidity, and leverage. Understanding these terms can help investors make more informed decisions about their investments. Additionally, understanding how these terms interact with each other can help investors better assess the overall risk of an investment.