Page 56 - Annual Report 2020
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                   b. All Banks and Investment Firms










                   1.  Market risk by asset class




                   The exposure to debt securities continued to increase while
                   equity exposures also grew in 2020 compared to 2019.

                   The trading book position in debt securities was negligible.

                   The net open position in foreign currencies, excluding the

                   USD and GCC-pegged currencies, was minimal.














































































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