Please use this identifier to cite or link to this item: https://repository.hneu.edu.ua/handle/123456789/19230
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dc.contributor.authorLebid O. V.-
dc.date.accessioned2018-07-12T12:56:00Z-
dc.date.available2018-07-12T12:56:00Z-
dc.date.issued2018-
dc.identifier.citationLebid O. V. Approach to the choice of currency risk management strategy / O. V. Lebid // Модернізація фінансово-кредитної системи України: Виклики глобалізації: матеріали Всеукр-ої науково-практ. інтернет-конф., 20 бер. 2018 р. : тези доповід. – Кривий Ріг: ДонНУЕТ ім. Михайла Туган-Барановського, 2018. – C. 41–45.uk
dc.identifier.urihttp://www.repository.hneu.edu.ua/handle/123456789/19230-
dc.description.abstractApproach to the choice of currency risk management strategy was suggested. The main stages of approach are: determining of conceptual basis of currency risk management, short-term and long-term assets and liabilities allocations, banks informational system design according to the conceptual basis of currency risk management and terms of assets and liabilities, accepting (or rejection) possibility of future exchange rates forecasting: choice of instruments internal (or external) currency risk management.uk
dc.language.isoenuk
dc.subjectcurrency risk managementuk
dc.subjectmanagement strategyuk
dc.subjectexchange ratesuk
dc.titleApproach to the choice of currency risk management strategyuk
dc.typeArticleuk
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