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The Improvement of the Market Risk Management Mechanism at the Automotive Industry Enterprises

机译:汽车工业企业市场风险管理机制的完善

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Risk is an integral part of the activities of any organization. The automotive industry is influenced by many factors that can contribute to a decrease in the financial performance of enterprises in a given industry. At the same time, the performance of enterprises in the automotive industry is significantly affected by market risks; the main ones are currency and interest risks. This article highlights the main methods and tools for managing market risks in the automotive industry. The analysis of market risks was carried out on the example of representatives of this industry (PJSC KAMAZ, PJSC SOLLERS, PJSC AVTOVAZ), the main methods of market risk management that are used by Russian enterprises of the automotive industry are outlined. The paper proposes an algorithm for minimizing market risks at the enterprises of the automotive industry through hedging, hedging mechanism with the help of exchange derivatives is also described. In conclusion, measures have been developed to improve the market risk management system in the automotive industry.
机译:风险是任何组织活动的组成部分。汽车行业受到许多因素的影响,这些因素可能导致给定行业中企业的财务绩效下降。同时,汽车行业企业的业绩显着受到市场风险的影响;主要的风险是货币和利息风险。本文重点介绍了管理汽车行业市场风险的主要方法和工具。市场风险的分析是以该行业代表(PJSC KAMAZ,PJSC SOLLERS,PJSC AVTOVAZ)为例进行的,概述了俄罗斯汽车行业企业使用的主要市场风险管理方法。提出了一种通过套期保值来最大程度地降低汽车企业市场风险的算法,并描述了借助交易所衍生工具进行套期保值的机制。总之,已开发出措施来改善汽车行业的市场风险管理系统。

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