Title Details: | |
Treasury Risk Management |
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Authors: |
Makris, Ilias |
Description: | |
Abstract: |
The different types of corporate financial risks are analyzed and their management tools and techniques are presented. A special focus is held on foreign exchange (corporate) risks. Finally, the components of risk quantification are presented (risk-free rate, risk premium, and beta).
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Linguistic Editors: |
Stavroulopoulou, Olga |
Graphic Editors: |
Stavroulopoulou, Olga |
Type: |
Chapter |
Creation Date: | 03-09-2022 |
Item Details: | |
License: |
Attribution - NonCommercial - ShareAlike 4.0 International (CC BY-NC-SA 4.0) |
Handle | http://hdl.handle.net/11419/8482 |
Bibliographic Reference: | Makris, I. (2022). Treasury Risk Management [Chapter]. In Makris, I. 2022. An introduction to Corporate Treasury Management [Undergraduate textbook]. Kallipos, Open Academic Editions. https://hdl.handle.net/11419/8482 |
Language: |
Greek |
Is Part of: |
An introduction to Corporate Treasury Management |
Publication Origin: |
Kallipos, Open Academic Editions |