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The classified management of market risk as the independent supervisory management, responsible for the implementation of the market risk effectively, it is also responsible for the development of the market risk management techniques and methodologies the bank"s mechanisms and measurement of liquidity and investment behavioral assumptions, and immediately any violation of the limits to top management according to strict procedures approved and accredited by the the Governing Council, in addition to the reporting of exposures to market risk and the The limits on a regular basis to the assets and liabilities management board.
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