The financial market instruments for risk management in the commodities secto© Medwell Journals, 2017. Financial
risk is caused by changes in
commodity prices that affect
УПРАВЛЕНИЕ ФИНАНСОВЫМИ РИСКАМИ И МЕТОДЫ ИХ НЕЙТРАЛИЗАЦИИ НА ПРЕДПРИЯТИИ rate, currency, stock and
commodity risks. Exposure to currency, interest rate and liquidity
risk Futures and options as instruments of hedging risks, equities, bonds and
commodities, a comprehensive business
analysis is necessary. One of the stages
Oil and gas industry and risks in the Russian Federation budget system. However an article
analysis suggests that the impact of budgetary
risks associated with the development
Оценка рисков передачи возбудителей инфекций и инвазий человека через пищевые продукты of biological
risks and
commodity-based, environmental and technological
risks at enterprises are given.
Project risks’ management model on an industrial entreprise analysis technique. Project
risk analysis and evaluation process takes one of the major places
The analysis of the system of monitoring and forecasting of banking risksThe article describes the types of
risks and describes the main goals and objectives of the bank’s