Pregled bibliografske jedinice broj: 616166
Risk Management in Global Financial Environment
Risk Management in Global Financial Environment // 24th International Conference on Organizational Science Development-Synergy of Methodologies
Maribor: Faculty of Organizational Sciences, University of Maribor, 2005. str. 793-800 (predavanje, međunarodna recenzija, cjeloviti rad (in extenso), znanstveni)
CROSBI ID: 616166 Za ispravke kontaktirajte CROSBI podršku putem web obrasca
Naslov
Risk Management in Global Financial Environment
Autori
Ivanović, Slobodan ; Mujačević, Elvis ; Ivanović, Vanja
Vrsta, podvrsta i kategorija rada
Radovi u zbornicima skupova, cjeloviti rad (in extenso), znanstveni
Izvornik
24th International Conference on Organizational Science Development-Synergy of Methodologies
/ - Maribor : Faculty of Organizational Sciences, University of Maribor, 2005, 793-800
ISBN
961-232-175-2
Skup
24th International Conference on Organizational Science Development-Synergy of Methodologies
Mjesto i datum
Maribor, Slovenija, 16.03.2005. - 18.03.2005
Vrsta sudjelovanja
Predavanje
Vrsta recenzije
Međunarodna recenzija
Ključne riječi
financial risk management; financial markets; systematic risk; operational risk; business risk
Sažetak
As a result of recent global trends in financial markets, financial institutions face important challenges in their management of risks. In particular, to develop an intelligent way to aggregate risks, and to develop management processes that cover the new types of risks that are becoming increasingly important. The first part of this paper discusses the global trends in financial markets that have an impact on financial risk management at the level of the firm. The four aspects of financial risk management-culture, policies and procedures, technology and indepencence-are then examined separately.
Izvorni jezik
Engleski
Znanstvena područja
Ekonomija
POVEZANOST RADA
Ustanove:
Fakultet za menadžment u turizmu i ugostiteljstvu, Opatija