Abstract: The development of the capital markets increases the key role of the financial manager both in using the new techniques for administrating the risks and in assessing hedge effectiveness. Risk means possible uncertainty regarding cash flows, influencing the fair value of assets and liabilities or the value of cash flow relating to future transactions of the entity. This article emphasizes that possible financial risk in international business, like as price risk, credit risk, risk of liquidity, can be hedged using financial instruments, especially derivatives, like as forward, futures, options and swaps. The accounting treatment for these instruments is presented in accordance to the basic principles of hedge accounting imposed by ...
This diploma thesis focuses on describing various ways of managing risks using hedge accounting unde...
Earnings volatility can be a significant source of concern for a company, putting pressure on its ca...
The goal of this Master's Thesis is to analyze the specific characteristics of the hedge funds with ...
The development of the capital markets increases the key role of the financial manager both in using...
This paper examines the financial risks faced by businesses by determining the meaning of risk and t...
Main objective of this paper is to outline the use of derivative instruments for elimination of enti...
The dynamic nature of international financial markets has contributed to a broader use of various fi...
The increasing use of derivatives for risk management of a company lately has led to the need to rep...
Derivatives, and derivatives used to hedge financial and operating functions, are designed to allow ...
Financial risk management has rapidly evolved over the past two decades and has become an indispensa...
The balancing of economic hedging activities, the so-called hedge accounting, is one of the most con...
Businesses face interest rate, exchange rate, liquidity, use derivative financial instruments to hed...
This bachelor thesis concerns hedge accounting under International Financial Reporting Standards. Fo...
The fast pace of business and the frequent changes in transactions make it impossible to eliminate r...
2011 Vietnam had 622,977 entities in which 79,014 entities were bankrupted. This problem is concerne...
This diploma thesis focuses on describing various ways of managing risks using hedge accounting unde...
Earnings volatility can be a significant source of concern for a company, putting pressure on its ca...
The goal of this Master's Thesis is to analyze the specific characteristics of the hedge funds with ...
The development of the capital markets increases the key role of the financial manager both in using...
This paper examines the financial risks faced by businesses by determining the meaning of risk and t...
Main objective of this paper is to outline the use of derivative instruments for elimination of enti...
The dynamic nature of international financial markets has contributed to a broader use of various fi...
The increasing use of derivatives for risk management of a company lately has led to the need to rep...
Derivatives, and derivatives used to hedge financial and operating functions, are designed to allow ...
Financial risk management has rapidly evolved over the past two decades and has become an indispensa...
The balancing of economic hedging activities, the so-called hedge accounting, is one of the most con...
Businesses face interest rate, exchange rate, liquidity, use derivative financial instruments to hed...
This bachelor thesis concerns hedge accounting under International Financial Reporting Standards. Fo...
The fast pace of business and the frequent changes in transactions make it impossible to eliminate r...
2011 Vietnam had 622,977 entities in which 79,014 entities were bankrupted. This problem is concerne...
This diploma thesis focuses on describing various ways of managing risks using hedge accounting unde...
Earnings volatility can be a significant source of concern for a company, putting pressure on its ca...
The goal of this Master's Thesis is to analyze the specific characteristics of the hedge funds with ...