Source: wikibot/margin-at-risk

= Margin at risk
{wiki=Margin_at_risk}

Margin at Risk (MaR) is a risk management metric used in the context of trading and investments to quantify the potential loss that a trader could face based on the margin they have in their trading account. Essentially, it reflects how much of a trader's margin is at risk of being lost due to adverse price movements in the assets they are trading.