Examples of Stressed in a sentence
In conjunction with each Payment Date Report, the Indenture Trustee shall also report the Stressed Time Percentage.
The interested ARCs/ Banks/ NBFCs/ FIs can conduct due diligence of these assets with immediate effect, after submitting expression of interest and executing a Non-Disclosure Agreement (NDA) with the Bank, if not already executed, to the Deputy General Manager (S&R), State Bank of India, Stressed Assets Resolution Group (SARG), Corporate Centre, 2nd Floor, The Arcade, World Trade Centre, Cuffe Parade, Mumbai – 400005 (Mail Id : dgm.sr@sbi.co.in.
Regulatory Stressed VaR Regulatory stressed VaR is calculated using the same methodology and portfolio composition as Regulatory VaR.
The proposed acquisition should not be funded and backed by promoters/Company/ Guarantors and/or any of their related parties and bidders shall be deemed to represent and warrant that the ultimate transferee of the Stressed Loan Exposure is not the borrower/guarantor or its affiliates.
The Firm uses VaR and Stressed VaR as components in a range of risk management tools.
Stressed, not frozen: The federal funds market in the financial crisis.
Further details of the Stressed Loans will be sent in the form of PIMs (Preliminary Information Memorandum) on execution of NDA, if not already executed, on the email IDs provided with the Expression of Interest (EOI).
For additional information on Regulatory SVaR, see “Regulatory Stressed Value-at-Risk (SVaR)” section below.
Further, the Stressed Asset Framework has repealed the earlier issued instructions of the RBI on resolution of stressed assets such as the framework for revitalising distressed assets, corporate debt restructuring scheme, flexible structuring of existing long term project loans, strategic debt restructuring scheme (“SDR”), change in ownership outside SDR and scheme for sustainable structuring of stressed assets (“S4A”).
Therefore, the bank computes on a daily basis trading Stressed VaR, combined with the trading VaR, to capture the abnormal movements infinancial markets and to give more comprehensive picture of risk.