Managing Financial Risk (CROSBI ID 544383)
Prilog sa skupa u zborniku | izvorni znanstveni rad | međunarodna recenzija
Podaci o odgovornosti
Ivanović, Zoran ; Mujačević, Elvis
engleski
Managing Financial Risk
Many observers thought that derivatives, drowning in bad publicity and in red ink, would die a quick death. however, derivatives were not to be abondoned: they tad proven themselves to be too useful. End-users, having learned dealers in terms of education, disclosure, and support. They are using this enhanced knowledge to improve policies and procedures, evaluate how best to implement Value-at-Risk (VAR), and decide what sort of systems requirements are needed to support their Risk Management activities. In this article, we will review the use of derifvatives by nonfinancial corporations and investors. in particular, we will examine the continuing efforts to implement more enlightened approaches to Risk management
risk management; Value-at-Risk; derivtives; financial price risk
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Podaci o prilogu
357-366.
2000.
objavljeno
Podaci o matičnoj publikaciji
International Tourism in the 21st Century
Ivanović, Zoran, Borković Vrtiprah, Vesna, Novacka, Ludmila
Bratislava: University of Economics, Faculty of Commerce, Institute of Services and Tourism
80-967910-6-0
Podaci o skupu
International Conference
predavanje
30.05.2000-30.05.2000
Bratislava, Slovačka