| Fateeva Anastasia Aleksandrovna
Ñurrency risk management problems in the banking sector
ID number: J202117
Abstract: This article is devoted to the problems of foreign exchange risks and analysis of currency risk management in the banking sector. The state of the Russian foreign exchange market is considered, the dynamics of the dollar against the ruble is analyzed. The research examines the essence of hedging as a segment for managing foreign exchange risk, the key derivative financial instruments for risk management and the problems of their use.
Key-words: risks, banks, risk management, hedging, currency risk, methods of reducing currency risks, financial risks of banks
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