financial risk management
(Q2906013)
practice of using financial instruments to manage exposure to risk, including operational risk, credit risk and market risk, foreign exchange risk, etc.
practice of using financial instruments to manage exposure to risk, including operational risk, credit risk and market risk, foreign exchange risk, etc.
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financial risk management
other details
description | practice of using financial instruments to manage exposure to risk, including operational risk, credit risk and market risk, foreign exchange risk, etc. |
External Links
(P646) |
/m/0582hf
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(P3417) |
Financial-Risk-Management
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(P5337) |
CAAqIggKIhxDQkFTRHdvSkwyMHZNRFU0TW1obUVnSmxiaWdBUAE
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(P6366) |
43071985
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(P10283) |
C43071985
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