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exchange risk. It is, therefore, not uncommon for empirical research to indicate their widespread application in business … practice. The aim of the paper is to point out the possibilities and approaches for hedging foreign exchange risk using … foreign exchange risk, although this is usually not the optimal solution. Instead, companies can negotiate currency forwards …
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Serbian Abstract: Финансијска криза је настала као резултат вођења неодговорне и несавесне пословне политике надлежних државних институција за контролу финансијског...
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Serbian Abstract: У чланку се разматра коришћење двају приступа анализи солвентности предузећа – традиционалног, заснованог на показатељима из биланса стања и биланса...
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and risk management on the costs of financial distress and corporate value. We aim to analyze structure of costs of … reduce cost of financial distress and increase debt capacity through risk management. Risk management can be, therefore …
Persistent link: https://www.econbiz.de/10012984158
English Abstract: The importance of enterprise risk management has dramatically changed during the two past decades … to be observed has included, besides financial, also, operational and strategic risks, while the responsibility for risk … coordinately manage global enterprise risk. Thus, the concept of enterprise risk management has been developed. This concept has …
Persistent link: https://www.econbiz.de/10012917502