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The possibilities of currency risk management (CROSBI ID 658855)

Prilog sa skupa u časopisu | izvorni znanstveni rad | međunarodna recenzija

Liović, Dina ; Novaković, Dražen The possibilities of currency risk management // Međunarodni znanstveni simpozij Gospodarstvo istočne Hrvatske – jučer, danas, sutra / Mašek Tonković, Anka (ur.). 2016. str. 1042-1050

Podaci o odgovornosti

Liović, Dina ; Novaković, Dražen

engleski

The possibilities of currency risk management

By doing business with foreign partners, every company - regardless of its size, activity and location, is faced with the existence of the currency risk. The company's awareness of the exposure to currency risk is of immense importance, as its negative effects could be treated by applying appropriate business policies and instruments. International business relations of Croatian real sector companies are becoming more and more important, especially after the Croatian accession to the European Union. As this trend is also present in eastern Croatia, there is a growing need to understand the possible consequences of currency risk exposure. Therefore, the aim of this paper is to explore the availability of various financial instruments for managing currency risk in Croatia, as well as to determine the level of their application in the eastern Croatian companies. Large companies from five Slavonian counties which operate also on the international market have been observed. The paper will analyze companies' approach to the currency risk problem, their awareness of the existing management instruments and the degree of their implementation. The paper will present in detail the forms of currency risk, such as transaction, translation and economic exposure, as well as the appropriate methods for its managing. The two major groups of these methods - internal and external, differ substantially in their availability - internal methods are available to each company naturally, while external ones depend on the development of the financial system. Analysis of exposure types and available instruments will be carried out by using comparative and descriptive methods while the situation in the companies will be examined by conducting a survey. Due to undeveloped Croatian financial system and lack of information on different instruments for currency risk management, it is necessary to raise companies' awareness of the currency risk exposure to properly manage it.

currency risk ; eastern Croatia ; risk management ; exposure types ; financial instruments

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Podaci o prilogu

1042-1050.

2016.

nije evidentirano

objavljeno

Podaci o matičnoj publikaciji

Međunarodni znanstveni simpozij Gospodarstvo istočne Hrvatske – jučer, danas, sutra

Mašek Tonković, Anka

Osijek: Ekonomski fakultet Sveučilišta Josipa Jurja Strossmayera u Osijeku

1848-9559

Podaci o skupu

5. međunarodni znanstveni simpozij Gospodarstvo istočne Hrvatske - vizija i razvoj

predavanje

02.06.2016-04.06.2016

Osijek, Hrvatska

Povezanost rada

Ekonomija

Poveznice