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AN OVERVIEW ON STATE OF KNOWLEDGE OF RISK AND RISK MANAGEMENT IN ECONOMICS FIELDS

机译:经济领域的风险知识状况和风险管理概述

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The purpose of this paper is to present a history and an evolution of concepts of risk and risk management in economic, respectively financial fields, highlighting the usefulness (or not) and complexity of tools for risk assessment developed over time. The main objective of risk management is to reduce costs and increase the value of company and stakeholders gains; also, a coherent risk management strategy may improve entity capital structure which will derive in a healthy financing policy. The risk and risk management field has been developed merely after the second world war and creates the favourable context of a new C position in business chart – Chief Risk Officer. The paper will explore the etymology of term risk correlated with the uncertainty. Research on risk and risk management is not possible without taking into account the derivatives market.
机译:本文的目的是介绍经济和金融领域中的风险和风险管理概念的历史和演变,强调随着时间的推移开发的风险评估工具的有用性和复杂性。风险管理的主要目标是降低成本并增加公司和利益相关者的收益。同样,连贯的风险管理策略可能会改善实体资本结构,而这将源于健康的融资政策。仅在第二次世界大战之后才开发了风险和风险管理领域,并为企业图表中的新C职位–首席风险官创造了有利的环境。本文将探讨与不确定性相关的期限风险的词源。如果不考虑衍生品市场,就不可能进行风险和风险管理研究。

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