Market risk faced by Financial Institutions
(1) Define the market Risk faced by Financial Institutions with examples of the Risk and why Financial Institutions are particularly susceptible to this Risk.
(2) Discuss ways to measure, manage and mitigate this Risk.
Do not answer with your handwriting, answer with you typing on your computer. Please if you are not an expert, just leave this question, so others can answer this. The answer should be two parts: (1) and (2), and should not be too short.