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09/18/2024PRINTED: DEPARTMENT OF HEALTH AND HUMAN SERVICESFORM APPROVEDCENTERS FOR MEDICARE & MEDICAID SERVICES STATEMENT OF DEFICIENCIES(X1) PROVIDER/SUPPLIER/CLIAAND PLAN OF CORRECTIONIDENTIFICATION
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What is span?
SPAN (Standard Portfolio Analysis of Risk) is a margining system used to calculate the risk and margin requirements of large portfolios of financial instruments.
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Entities that operate in derivatives markets, including brokers, traders, and financial institutions, are typically required to file SPAN margins.
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Information reported on SPAN includes the types of instruments in the portfolio, position sizes, market prices, volatility estimates, and any relevant risk factors.
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