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首页> 外文期刊>AIChE Journal >Use of Inventory and Option Contracts to Hedge Financial Risk in Planning Under Uncertainty
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Use of Inventory and Option Contracts to Hedge Financial Risk in Planning Under Uncertainty

机译:不确定性下的计划中使用库存和期权合约对冲财务风险

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摘要

The use of inventory and options in the management of financial risk in planning under uncertainty is analyzed.The intuitive notion that the addition of inventory can reduce risk is explored to reveal that it is only guaranteed if models managing risk are used and can otherwise lead to higher risk exposures.An example where risk is managed with options contracts is also presented,revealing that risk is also hedged only through an approach where risk is properly managed but not necessarily every time options are used.
机译:分析了在不确定情况下计划中库存和期权在财务风险管理中的使用。探讨了库存的增加可以降低风险的直观概念,以表明只有在使用管理风险的模型的情况下才能保证这一点,否则会导致更高的风险敞口。还提供了使用期权合约管理风险的示例,表明仅通过适当管理风险的方法(不一定在每次使用期权时都对冲风险)可以对冲风险。

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