Use this url to cite publication: https://cris.mruni.eu/cris/handle/007/38700
Išvestinių finansinių priemonių rizika ir jos valdymas
Type of publication
Straipsnis kitame recenzuojamame leidinyje / Article in other peer-reviewed edition (S5)
Author(s)
Author(s) | ||
---|---|---|
Kauno technologijos universitetas | ||
Melnikas, Nikolajus | UAB Forekslitas | Kauno technologijos universitetas |
Ragauskaitė, Vaidė | UADBB Kapitalo draudimo brokeris | Kauno technologijos universitetas |
Title [lt]
Išvestinių finansinių priemonių rizika ir jos valdymas
Other Title [en]
Risk associated with financial derivatives and risk management
Date Issued
Date Issued |
---|
2001 |
Extent
p. 18-28
Is part of
Socialiniai mokslai / Kauno technologijos universitetas. Kaunas : Technologija, 2001, Nr. 5 (31).
Field of Science
Abstract (en)
The article focuses on the analysis of risks associated with derivatives and risk management, since revealing this subject is an important scientific issue. A large volume and rapid growth of derivative transactions clearly show that derivatives are valuable and vital risk management tools in today's global business environment. [...]
Type of document
type::text::journal::journal article::research article
ISSN (of the container)
1392-0758
eLABa
2489967
Coverage Spatial
Lietuva / Lithuania (LT)
Language
Lietuvių / Lithuanian (lt)
Bibliographic Details
25