Please use this identifier to cite or link to this item: http://dspace.ince.md/jspui/handle/123456789/2218
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dc.contributor.authorPostolache (Dogotari), Victoria-
dc.date.accessioned2024-01-17T10:43:40Z-
dc.date.available2024-01-17T10:43:40Z-
dc.date.issued2012-
dc.identifier.citationPOSTOLACHE (DOGOTARI), Victoria. Inovații în gestiunea și acoperirea riscului de piață în sectorul bancar. In: Economic growth in conditions of globalization = Creşterea economică în condiţiile globalizării : international scientific and practical conference, VII-th edition, october 18-19, 2012, Chisinau. Chisinau: IEFS, 2012, vol. II, pp. 431-436. ISBN 978-9975-4381-1-7.en_EN
dc.identifier.isbn978-9975-4381-1-7-
dc.identifier.urihttp://dspace.ince.md/jspui/handle/123456789/2218-
dc.descriptionText: lb. rom. Abstrac: lb. engl. Referinţe bibliografice : p. 436 (2 titl.).en_EN
dc.description.abstractBank customers often get to be involved in different types of derivatives transactions with a bank or other entity, in order to hedge or protect against unwanted exposure to the volatility of interest rates, exchange rates etc. Market risk, approach to the risk management using derivatives, can be reduced by the derivatives proposed in this paper. The main objective is to reduce direct exposure of the derivative contracts of firms. This will not only ensure the company to have a default risk hedging against market risks (hedged), in itself, but also will help avoid any direct obligation or exposure to unsafe derivatives. The question we ask is who will use transactions with financial derivatives? The answer is banks, that need (and must) to cover their exposure by using derivative contracts with other banks, which can take exposure to market risks. Banks can play a central role of managing or hedging market risks in the banking system.en_EN
dc.language.isootheren_EN
dc.publisherIEFSen_EN
dc.subjectsectorul bancaren_EN
dc.subjectriscen_EN
dc.subjectpiataen_EN
dc.subjectinovatiien_EN
dc.subjectgestiuneen_EN
dc.titleInovații în gestiunea și acoperirea riscului de piață în sectorul bancaren_EN
dc.typeArticleen_EN
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