Trends in education, 2008 (vol. 1), issue 1

TVV 2008, 1(1):601-604

FINANCIAL RISKS AND FINANCIAL DERIVATIVES

URBANÍKOVÁ Marta
Katedra matematiky, ÚIAM MTF STU, Hajdóczyho 1, 917 24 Trnava, SR

The aim of the article is to present the financial risks which are related to the present development on the financial markets and show the posibilities of their elimination by using financial derivatives.

Keywords: financial risks, financial derivatives, forwards

Published: July 1, 2008  Show citation

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URBANÍKOVÁ, M. (2008). FINANCIAL RISKS AND FINANCIAL DERIVATIVES. Trends in education1(1), 601-604
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References

  1. JÍLEK, J.: Finanční a komoditní deriváty. Praha: Grada, 2004. ISBN 80-247-0342-4.
  2. POTOCKÝ, R.: Finančná matematika. Bratislava: UK, 1997. ISBN 80-223-1090-5.
  3. BLACKE, D.: Analýza finančních trhu. Praha: Grada, 1995.
  4. ŠPIRKOVÁ, J.: Value at risk forwardového kontraktu. Zborník medzinárodného seminára Finanční řízení podniku a finančních institucí,VŠB Ostrava, 1999, str.174-182

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