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BUSINESS FINANCE II - Chapter 7 Summary - Açıköğretim Sistemi - Anadolu Üniversitesi



BUSINESS FINANCE II - Chapter 7 Summary
Define, identify and interpret risk as a measure of uncertainty about future payoffs. Explain the difference between credit, market, liquidity and operational risks. Explain the methodologies for Value-at-Risk (VaR). Explain how to measure, quantify and communicate risk. Define how to minimize and mitigate risks through derivative instruments.

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