Поиск по каталогу |
(строгое соответствие)
|
- Профессиональная
- Научно-популярная
- Художественная
- Публицистика
- Детская
- Искусство
- Хобби, семья, дом
- Спорт
- Путеводители
- Блокноты, тетради, открытки
Financial risk management through options.
В наличии
Местонахождение: Алматы | Состояние экземпляра: новый |
Бумажная
версия
версия
Автор: Jacinda Orianne Allosse
ISBN: 9786205843130
Год издания: 2023
Формат книги: 60×90/16 (145×215 мм)
Количество страниц: 52
Издательство: Our Knowledge Publishing
Цена: 22584 тг
Положить в корзину
Ожидает определения тематики
Код товара: 880718
Способы доставки в город Алматы * комплектация (срок до отгрузки) не более 2 рабочих дней |
Самовывоз из города Алматы (пункты самовывоза партнёра CDEK) |
Курьерская доставка CDEK из города Москва |
Доставка Почтой России из города Москва |
Аннотация: Nowadays, we notice the influential place that investment has taken on our daily life. Investment is the commitment of capital in an operation from which we hope to obtain a potential future gain with the objective of creating value. However, being in the present, we do not control all the parameters inherent to the future concerning this investment. Indeed, the resources committed to this investment can be recovered or lost in the process of value creation, hence the notion of risk in investment. Risk is therefore an integral part of the notion of investment. It is clear that there are investors who invest their capital in highly volatile financial assets such as oil on the financial markets. By investing in this kind of asset with high fluctuation, they are exposed to a more or less probable danger. It is therefore no longer necessary to demonstrate the desire of these investors to find alternatives in order to circumvent these risks which could cause them huge losses.
Ключевые слова: Finance, Management, options, Risk, Risks, Financial risks
Похожие издания
Сферы деятельности: Предпринимательская деятельность -> Менеджмент Amolo Elvis Juma Amolo Financial Risk Management Instruments in Infrastructure Projects. Managing Financial Risks. 1905 г., 248 стр., мягкий переплет The book addresses financial risk management instruments that are applied in securitization of Infrastructure Projects that are usually perceived as risky even in the event that their economic analysis shows otherwise. The documented instruments include contingent capital, hedging derivatives, credit enhancement, insurance, and alternative risk... | 55438 тг | |
Сферы деятельности: Предпринимательская деятельность -> Менеджмент Santhosh Joseph An effective financial risk management for a business.. 1905 г., 88 стр., мягкий переплет The book describes the concept of business organisation, general definition of risk in a business context, and different types of risk and especially financial risk. It depicts different internal and external factors affecting the financial risk management, the opportunities created and utilised as part of risk taking activity and different... | 28089 тг | |
Отрасли знаний: Общественные науки -> Юриспруденция Rabindra Kumar Swain Banking Management in India. Commercial Banks, Management of Financial Risk, Management of NPA, Liquidity Management, Asset Liability management. 2015 г., 284 стр., мягкий переплет This book discusses the historical background of banking in India. It outlines the contemporary issues in banking management in India with a special emphasis on Management of Financial Risk, Banking legislation and its reforms, Management of NPA, Liquidity Management, Asset Liability Management, Money Laundering, Customer Relationship Management,... | 55659 тг |