دورية أكاديمية

УПРАВЛЕНИЕ НА ПАЗАРНИЯ РИСК ВЪВ ФИНАНСОВИТЕ ИНСТИТУЦИИ: ПРАКТИКИ И ПРЕДИЗВИКАТЕЛСТВА.

التفاصيل البيبلوغرافية
العنوان: УПРАВЛЕНИЕ НА ПАЗАРНИЯ РИСК ВЪВ ФИНАНСОВИТЕ ИНСТИТУЦИИ: ПРАКТИКИ И ПРЕДИЗВИКАТЕЛСТВА. (Bulgarian)
Alternate Title: MARKET RISK MANAGEMENT IN FINANCIAL INSTITUTIONS: PRACTICES AND CHALLENGES. (English)
المؤلفون: Плачков, Делян
المصدر: Scientific WORKS of the Union of Scientists in Bulgaria - Plovdiv. Series A. Social Sciences, Art & Culture; 2024, Vol. 7, p12-15, 4p
مصطلحات موضوعية: RISK-taking behavior, FINANCIAL markets, VALUE at risk, MARKETING management, LIQUIDITY (Economics)
مستخلص: In the process of carrying out its financial operations, every organization faces various types of risks such as market, credit, operational, legal and liquidity risk. At the same time, the management strategies of these risks are formed depending on the priorities and goals of the organization the financial market. In some cases, organizations focus their efforts on achieving stability, preferring a more modest but secure income, while others are willing to take greater risks with the vision of greater gains. [ABSTRACT FROM AUTHOR]
Copyright of Scientific WORKS of the Union of Scientists in Bulgaria - Plovdiv. Series A. Social Sciences, Art & Culture is the property of Union of Scientists in Bulgaria - Plovdiv and its content may not be copied or emailed to multiple sites or posted to a listserv without the copyright holder's express written permission. However, users may print, download, or email articles for individual use. This abstract may be abridged. No warranty is given about the accuracy of the copy. Users should refer to the original published version of the material for the full abstract. (Copyright applies to all Abstracts.)
قاعدة البيانات: Complementary Index