Though the credit crisis appears to still be in its infancy, a clear change in the way institutions value and manage complex derivatives and structured products is currently underway.
 
Not only has the credit crisis brought market inefficacies to light, it also has forced institutions to evaluate, from an enterprise perspective, how they participate in complex markets—in terms of valuation; model validation; risk management and overall internal controls; in addition to enterprise-wide pricing policies.
 
 

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