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home > About JSCC > Fund Management Policy

About JSCCFund Management Policy

Fund Management Policy

JSCC manages collateral posted by Clearing Participants and Clients, in accordance with the following policy:

Policy for Management of Posted Collateral

When managing funds relating to its own assets, JSCC gives priority to the protection of the investment principal. JSCC also assesses risks involved in the quality of products and issuers, and seeks to achieve high rate of return within low-risk products. JSCC also ensures that there is appropriate working capital available to facilitate any future cash payments, required to support JSCC’s daily business activities.

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