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THE BASIS RISK OF CATASTROPHIC-LOSS INDEX SECURITIES By J. David Cummins, David Alone, Richard D. Phillips May 24, 2000, Please address correspondence to: J. David Cummins The Wharton School Phone:
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Form basis risk is a risk management technique used to estimate or forecast the potential loss in value of an investment, asset, or portfolio due to changes in the basis of associated derivative contracts or securities.
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Individuals or organizations that engage in derivative contracts or hold securities with basis risk exposure are required to file form basis risk.
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To fill out form basis risk, you need to provide detailed information about the derivative contracts or securities held, including the basis risk exposure and any relevant calculations or estimates.
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The purpose of form basis risk is to assess and quantify the potential risk exposure associated with changes in the basis of derivative contracts or securities, allowing individuals or organizations to make informed risk management decisions.
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Form basis risk requires reporting of detailed information about the derivative contracts or securities held, including the basis risk exposure, valuation methodologies, and any significant factors or assumptions used in the risk assessment.
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