Use this url to cite publication: https://cris.mruni.eu/cris/handle/007/36926
Risk management using option investing strategies
Type of publication
Straipsnis konferencijos medžiagoje kitoje duomenų bazėje / Article in conference proceedings in other databases (P1c)
Title [en]
Risk management using option investing strategies
Publisher (trusted)
Mykolo Romerio universitetas |
Date Issued
Date Issued |
---|
2013 |
Extent
p. 263-271
Is part of
Practice and research in private and public sector - 2013 : 3rd international scientific conference : conference proceedings, April 11-12, 2013. [Elektroninis išteklius] / Mykolas Romeris university. Vilnius : Mykolo Romerio universitetas, 2013.
Field of Science
Abstract (en)
Rapidly changing conditions in the market and increasing level of uncertainty are the main reasons that every business, individuals, portfolio managers are exposed to risk of one or the other type in order to occupier better positions in the market and seeking to overcome growing competitiveness enterprises need to take more risk. There is no possibility to avoid risk, but it is possible to manage it by applying adequate methods of diminishing and management. Options and investment strategies including options are one of the risk management means widely used all over the world. The purpose of the article is to analyze the use of option investment strategies for risk management purposes.
Is Referenced by
Type of document
type::text::conference output::conference proceedings::conference paper
ISSN (of the container)
2029-7378
eLABa
3139047
Coverage Spatial
Lietuva / Lithuania (LT)
Language
Anglų / English (en)
Bibliographic Details
13