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Articolul urmator |
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Ultima descărcare din IBN: 2024-03-14 14:39 |
SM ISO690:2012 ПАНЬКОВ, Павел. Деривативы как инструмент риск-менеджмента: возможности и вызовы для нефинансовых организаций Республики Беларусь. In: Paradigme moderne în dezvoltarea economiei naţionale şi mondiale: Cu ocazia aniversării a 65 de ani de la fondarea Facultăţii de Ştiinţe Economice, Ed. 1, 2-3 noiembrie 2018, Chisinău. Chișinău: Institutul Patrimoniului Cultural, 2018, pp. 507-512. ISBN 978-9975-142-57-1. |
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Paradigme moderne în dezvoltarea economiei naţionale şi mondiale 2018 | |||||
Conferința "Paradigme moderne în dezvoltarea economiei naţionale şi mondiale" 1, Chisinău, Moldova, 2-3 noiembrie 2018 | |||||
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The directions of application derivatives for risk management have been considered in the article. The main types of risk that arise in the process of the operational activities of non-financial organizations have been analyzed. The negative impact of these risks can be reduced using derivatives. In this regard, the appropriate directions of hedging such types of risks have been identified. The derivatives market functioning in the Republic of Belarus has its own specific features, which cause factors that constrain the use of derivatives by non-financial organizations in the country. Possible ways of using derivatives as a risk management tool in the practice of non-financial organizations of the Republic of Belarus have been proposed |
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Cuvinte-cheie hedging, Risk, financial instruments, factors, cash flows, хеджирование, риск, финансовые инструменты, факторы, денежные потоки |
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