Methods for analyzing the organization’s currency risks

Автор: Mashkin A.L., Kazitskaya N.V.

Журнал: Экономика и бизнес: теория и практика @economyandbusiness

Статья в выпуске: 8 (90), 2022 года.

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In this article, the authors summarize and update the features of assessing the organization's currency risks in the conditions that have become a reality after February 24 of the current year. The generally accepted principles of classification of both the currency transactions themselves and the risks associated and characteristic of the activities of companies in the field of international finance are considered. Methods are described that are typical for risk management in this area and aimed at improving the financial stability of enterprises. As a result, the authors have updated and systematized the main provisions that are typical for understanding currency risks, which can be useful for companies that have active business ties with foreign partners.

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Exchange rate, risk, finance, risk management

Короткий адрес: https://sciup.org/170195768

IDR: 170195768   |   DOI: 10.24412/2411-0450-2022-8-176-181

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