Zobrazeno 1 - 10
of 138
pro vyhledávání: '"Derivative instruments"'
Publikováno v:
Contemporary Issues in Business Economics and Finance
Publikováno v:
Colecția de working papers "ABC-ul Lumii Financiare" / Working papers’ collection "The ABC of the Financial World". (9):220-234
Externí odkaz:
https://www.ceeol.com/search/article-detail?id=985830
Autor:
Kliber, Paweł
Publikováno v:
Financial engineering : Methods and cases. :63-100
Externí odkaz:
https://www.ceeol.com/search/chapter-detail?id=767561
Publikováno v:
حقوق فناوریهای نوین, Vol 1, Iss 2, Pp 106-132 (2021)
Iran is in a special place in terms of oil exports, and it is natural that in this valley traders are also looking for a better market and more profits. With development and progress of the Internet and new technologies, the world economy has taken a
Externí odkaz:
https://doaj.org/article/0d0cf426a5de4a44be01834ef470f8e3
Autor:
Élie Ayache
Publikováno v:
Recherches Germaniques, Vol 15, Pp 81-91 (2020)
Marxist criticism considers the financial market as the utmost achievement of abstraction. It is the jewel of capitalism, which is in turn the accomplishment of metaphysics and of the Greek logos. This article argues, against this Marxist view, that
Externí odkaz:
https://doaj.org/article/5374d6188e684f0c9102b9ab83992ffa
Autor:
Araceli Hernández-Jiménez
Publikováno v:
Revista CEA, Vol 4, Iss 7, Pp 13-28 (2018)
Compared to companies that do not market products abroad, import export businesses face an additional risk: foreign exchange volatility. This work analyzes the features that distinguish the management strategies of highly profitable companies that co
Externí odkaz:
https://doaj.org/article/690ab64d0c44446a91d45fb8d0476bbf
Publikováno v:
Challenges of the Knowledge Society, Vol 12, Iss -, Pp 916-921 (2018)
We know the fact that, with the rapid growth of the economic, political and financial instability, country risk analysis has gained an increasingly important role in the practice of international financial institutions. There have been developed a
Externí odkaz:
https://doaj.org/article/fc233522ece54648a64e7da6a52e1e82
Autor:
Sarić Saša
Publikováno v:
Anali Ekonomskog fakulteta u Subotici, Vol 2018, Iss 40, Pp 107-120 (2018)
This paper looks at a specific side of market risk, called interest risk, and how banks can control the risk coming from certain interest positions, by using derivative instruments. Bargain interest rates, contractors, cloaks and necklaces are the ke
Externí odkaz:
https://doaj.org/article/c55075c966f04d26854de079213f0f14
Publikováno v:
Financial Analysts Journal, 2002 Nov 01. 58(6), 42-55.
Externí odkaz:
https://www.jstor.org/stable/4480434
Publikováno v:
Financial Analysts Journal, 2002 May 01. 58(3), 28-44.
Externí odkaz:
https://www.jstor.org/stable/4480390