Regulation in force in Germany since 2004 and amended in 2013, under which special regulatory requirements for risk management and risk measurement are derived for investment funds in which derivatives are used to manage risk and return. – See derivatives transactions clearing obligation, derivatives transactions reporting obligation, risk monitoring, articulated derivatives information obligation. – Cf. BaFin Annual Report 2007, p. 167 (supervisory; risk models), BaFin Annual Report 2009, p. 217 (evaluation of notifications under the Derivatives Ordinance), Financial Stability Report 2012, p. 92 et seq. (over-the-counter derivatives market since 2003; regulatory issues), Annual Report 2013 of the
BaFin, p. 162 f. (DerivateV completely revised).
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University Professor Dr. Gerhard Merk, Dipl.rer.pol., Dipl.rer.oec.
Professor Dr. Eckehard Krah, Dipl.rer.pol.
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