RISK MANAGEMENT WITH FINANCIAL DERIVATIVES: EMPIRICAL EVIDENCE FROM ROMANIAN NON-FINANCIAL FIRMS

Financial risk management has rapidly evolved over the past two decades and has become an indispensable function in many institutions from different area of activities. In the last two decades, as the financial markets have become more and more mature, an increasing number of firms from emerging eco...

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Bibliographic Details
Main Author: Sorin Gabriel Anton
Format: Article
Language:deu
Published: University of Oradea 2016-12-01
Series:Annals of the University of Oradea: Economic Science
Online Access:http://anale.steconomiceuoradea.ro/volume/2016/n2/033.pdf

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