1. SPAN® — Standard Portfolio Analysis of Risk.
2. Немного теории.
3. 4 инструмента для расчета SPAN.
4. Калькулятор вашего брокера.
5. Калькулятор PC-SPAN®.
6. Онлайн-калькулятор CME CORE.
7. One More Thing :)
8. Кто хочет научиться считать маржу?
9. Двухдневный мастер-класс.
SPAN is a market simulation-based Value at Risk system that allows you to effectively assess risk on an overall portfolio basis. SPAN's risk based margin requirements allows for effective margin coverage while preserving efficient use of capital. SPAN assesses risk for a wide variety of financial instruments including: futures, options, physicals, equities, or any combination. Developed in 1988: