THE FINANCIAL INSTRUMENTS FOR RISK MANAGEMENT ON THE INTERNATIONAL FINANCIAL MARKETS
The international financial market is extremely volatile because of the influence of anumerous objective and subjective factors. Because of these, în their fight for maximizing the profit, the creditinstitutes confronts permanently with all sort of risks.It is important to know that the risk is gene...
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Format: | Article |
Language: | English |
Published: |
Danubius University
2008-05-01
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Series: | EIRP Proceedings |
Online Access: | http://www.proceedings.univ-danubius.ro/index.php/eirp/article/view/1101/1019 |