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Annual Reporting 2006  
Annual Review Financial Report Handbook
     
Introduction
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Market risk
Market risk

Market risk is exposure to market variables, including general market risk factors such as interest rates, exchange rates, equity market indices and commodity prices, and factors specific to individual names affecting the values of securities and other obligations in tradable form, and derivatives referenced to those names.

We report our market risk in terms of Value at Risk ("VaR") but we also apply a range of other measures and controls which are described in the sections below.

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