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The Financial Instruments for Risk Management on the International Financial Markets

机译:国际金融市场上用于风险管理的金融工具

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Normal 0 false false false EN-US X-NONE X-NONE The international financial market is extremely volatile because of the influence of a numerous objective and subjective factors. Because of these, in their fight for maximizing the profit, the credit institutions confront permanently with all sorts of risks. It is important to know that the risk is generated by numerous operations and procedures. From these cause, at least in the financial field, the risk must be considered as a complex web of risks, in the sense that they can have common causes, and producing a risk can generate a chain reaction that would lead to other risks. As a consequence, these operations and procedures can permanently generate an exposure to the risk. The risk management is the key function of the financial institution, which acts on the international financial market. For doing this, it must be used some important instruments that can lead to avoiding risks or dimensioning them.
机译:正常0错误错误错误EN-US X-NONE X-NONE由于众多客观和主观因素的影响,国际金融市场极度动荡。因此,信贷机构在争取利润最大化的斗争中,将永久面临各种风险。重要的是要知道,风险是由大量的操作和程序产生的。从这些原因出发,至少在金融领域,必须将风险视为复杂的风险网,因为它们可能具有共同的原因,并且产生风险会产生连锁反应,从而导致其他风险。结果,这些操作和程序可能永久性地产生风险。风险管理是金融机构的主要职能,它作用于国际金融市场。为此,必须使用一些重要的工具来避免风险或确定风险的大小。

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