© Medwell Journals, 2016.The study reveals and justifies the management of financial risks using derivative financial instruments. Disclosing the use of derivatives the Russian companies and their gives their comparative characteristics of their use. To minimizethe additional cost of paying the loan in foreign currency company may use derivatives exchange market. Also presented the strategy of hedging the cost of raw materials and foreign exchange
The topic of the thesis is the application of financial derivaties in business practice. The thesis ...
Company operating in current economic conditions are exposed to a series of different kinds of risk....
Basic motive for the work comes out of the hypothesis of growing need of non-financial Czech compani...
© Medwell Journals, 2016.The study reveals and justifies the management of financial risks using der...
The dynamic nature of international financial markets has contributed to a broader use of various fi...
The article analyzes the management of the derivative instruments on the example of non-financial or...
Financial risk management has rapidly evolved over the past two decades and has become an indispensa...
The derivative financial instruments are inevitable in the development of financial markets. The bus...
In main part of this paper we describe and analyze some conclusions of previous studies regar- ding...
The aim of my bacholor thesis is to characterize derivatives as a tool used to manage exchange rate ...
The article discusses the problems of the development of derivative financial instruments in the glo...
This thesis examines if a company risk management policy to hedge interest rate risk and foreign exc...
The field of financial derivatives is rather complicated and usually not familiar to general public....
The aim of the thesis is to present a robust conceptual framework for risk management of non-financi...
The financial risks which are faced by companies in international business are defined in the theore...
The topic of the thesis is the application of financial derivaties in business practice. The thesis ...
Company operating in current economic conditions are exposed to a series of different kinds of risk....
Basic motive for the work comes out of the hypothesis of growing need of non-financial Czech compani...
© Medwell Journals, 2016.The study reveals and justifies the management of financial risks using der...
The dynamic nature of international financial markets has contributed to a broader use of various fi...
The article analyzes the management of the derivative instruments on the example of non-financial or...
Financial risk management has rapidly evolved over the past two decades and has become an indispensa...
The derivative financial instruments are inevitable in the development of financial markets. The bus...
In main part of this paper we describe and analyze some conclusions of previous studies regar- ding...
The aim of my bacholor thesis is to characterize derivatives as a tool used to manage exchange rate ...
The article discusses the problems of the development of derivative financial instruments in the glo...
This thesis examines if a company risk management policy to hedge interest rate risk and foreign exc...
The field of financial derivatives is rather complicated and usually not familiar to general public....
The aim of the thesis is to present a robust conceptual framework for risk management of non-financi...
The financial risks which are faced by companies in international business are defined in the theore...
The topic of the thesis is the application of financial derivaties in business practice. The thesis ...
Company operating in current economic conditions are exposed to a series of different kinds of risk....
Basic motive for the work comes out of the hypothesis of growing need of non-financial Czech compani...