Jezik: | Slovenski jezik |
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Leto izida: | 2013 |
Tipologija: | 2.11 - Diplomsko delo |
Organizacija: | UM EPF - Ekonomsko-poslovna fakulteta |
Založnik: | [N. Jarc] |
UDK: | 336.74 |
COBISS: | 11533084 |
Št. ogledov: | 1939 |
Št. prenosov: | 224 |
Ocena: | 0 (0 glasov) |
Metapodatki: |
Sekundarni jezik: | Angleški jezik |
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Sekundarni naslov: | Currency risk management |
Sekundarni povzetek: | The tesis abou currency risk management introduces us to the detailed meaning of currency risk. What is currency risk, how do financial and non-financial companies protect their currency exposed items |
Sekundarne ključne besede: | Currency risk;currency risk management;internal hedging strategies;currency financial derivatives;currency exposure;measuring currency exposure. Therefore the theoretical part icludes the presentation od the terms that are necessarilly for understanding the meaning of currency risk management. In the empirical part;where the emhasis is on the usage of financial currency derivatives;is an introduction about hot the internal and external governance effect the use of currency derivatives in a company.; |
URN: | URN:SI:UM: |
Vrsta dela (COBISS): | Delo diplomskega seminarja/zaključno seminarsko delo/naloga |
Komentar na gradivo: | Univ. v Mariboru, Ekonomsko-poslovna fak. |
Strani: | 43 str. |
ID: | 8726484 |