RISK MANAGEMENT MODEL WITHIN AN ALTERNATIVE INVESTMENT FUND (AIF). SIF MOLDOVA CASE STUDY
Risk management has become a primary objective in the management decision. Particularly, in case of investment processes, the focus on risk management is becoming more pronounced, as a reaction to the increase in the complexity of financial products and processes of analysis, decision and implementa...
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Format: | Article |
Language: | English |
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University of Bacău
2016-12-01
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Series: | Studies and Scientific Researches: Economics Edition |
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Online Access: | http://sceco.ub.ro/index.php/SCECO/article/view/373 |