Перевод: с английского на хорватский

с хорватского на английский

risk related to financial derivatives

См. также в других словарях:

  • Risk — takers redirects here. For the Canadian television program, see Risk Takers. For other uses, see Risk (disambiguation). Risk is the potential that a chosen action or activity (including the choice of inaction) will lead to a loss (an undesirable… …   Wikipedia

  • Risk management — For non business risks, see risk, and the disambiguation page risk analysis Example of risk management: A NASA model showing areas at high risk from impact for the International Space Station. Risk management is the identification, assessment,… …   Wikipedia

  • Financial history of the Dutch Republic — describes the history of the interrelated development of financial institutions in the Dutch Republic. The rapid economic development of the country after the Dutch Revolt in the years 1585 1620, described in Economic History of the Netherlands… …   Wikipedia

  • Financial economics — is the branch of economics concerned with the allocation and deployment of economic resources, both spatially and across time, in an uncertain environment [http://nobelprize.org/nobel prizes/economics/laureates/1997/merton lecture.pdf] .It is… …   Wikipedia

  • Risk arbitrage — Risk arbitrage, or merger arbitrage, is an investment or trading strategy often associated with hedge funds. Two principal types of merger are possible: a cash merger, and a stock merger. In a cash merger, an acquirer proposes to purchase the… …   Wikipedia

  • financial instrument — As defined in the Markets in Financial Instruments Directive (MiFID), including: Transferable securities (transferable security) (for example, shares in companies and other securities equivalent to shares in companies, bonds or other forms of… …   Law dictionary

  • Financial crisis of 2007–2008 — The financial crisis of 2007–2008, referred to in the media as the credit crunch or the credit crisis , first became apparent on August 9, 2007, when a loss of confidence by investors in the value of securitized mortgages in the United States… …   Wikipedia

  • Late-2000s financial crisis — The TED spread (in red) increased significantly during the financial crisis, reflecting an increase in perceived credit risk …   Wikipedia

  • Credit risk — Categories of financial risk Credit risk Concentration risk Market risk Interest rate risk Currency risk Equity risk Commodity risk Liquidity risk Refinancing risk …   Wikipedia

  • Concern over Derivatives — ▪ 1996 by Patricia Tehan       Derivatives had been acquiring a bad name even before the collapse of the London based merchant bank Barings PLC in February 1995 rocked the world s banking community. But the failure of Barings brought derivatives… …   Universalium

  • Master of Financial Economics — A master’s degree in financial economics provides an understanding of theoretical finance and the underlying economic framework.[1] The degree is postgraduate, and may incorporate a thesis or research component. Programs are often a joint… …   Wikipedia

Поделиться ссылкой на выделенное

Прямая ссылка:
Нажмите правой клавишей мыши и выберите «Копировать ссылку»