Citigroup includes a detailed discussion and analysis of Market Risk in its trading portfolios in its 10-K report.
10-K for 2018: https://www.citigroup.com/citi/investor/data/q1804c.pdf. Primary discussion found on pages
101-105
10-K for 2005: http://www.citigroup.com/citi/investor/data/k05c.pdf. Primary discussion found on pages 90-91
Discuss the changes in the level of disclosure between 2005 and 2018. As part of your discussion, please
address the following points:
• Has the framework Citigroup uses for measuring Price Risk changed?
• What additional information about their risk management approach have they disclosed in 2018 over that of
2005? Provide at least three examples that you consider significant.
• In what ways has the lengthier discussion of 2018 added to your understanding of Citigroup’s price risk
management over that of 2005?