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Financial risk management using financial engineering instruments

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dc.contributor.author Ajupov A.
dc.contributor.author Kurilova A.
dc.contributor.author Karataev A.
dc.contributor.author Galiuta O.
dc.contributor.author Erukh S.
dc.date.accessioned 2018-09-19T21:55:49Z
dc.date.available 2018-09-19T21:55:49Z
dc.date.issued 2016
dc.identifier.issn 1815-932X
dc.identifier.uri https://dspace.kpfu.ru/xmlui/handle/net/144488
dc.description.abstract © 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.
dc.relation.ispartofseries Research Journal of Applied Sciences
dc.subject Contract
dc.subject Derivatives
dc.subject Financial derivatives
dc.subject Forward
dc.subject Futures
dc.subject Hedge
dc.subject Option
dc.subject Swap
dc.title Financial risk management using financial engineering instruments
dc.type Article
dc.relation.ispartofseries-issue 11
dc.relation.ispartofseries-volume 11
dc.collection Публикации сотрудников КФУ
dc.relation.startpage 1184
dc.source.id SCOPUS1815932X-2016-11-11-SID85013042418


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  • Публикации сотрудников КФУ Scopus [24551]
    Коллекция содержит публикации сотрудников Казанского федерального (до 2010 года Казанского государственного) университета, проиндексированные в БД Scopus, начиная с 1970г.

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