Управление на финансовия риск на транснационалната корпорация
Financial Risk Management at Transnational Company Level
Author(s): Nikolay Mazadzhiev
Subject(s): Economy, Business Economy / Management, Financial Markets
Published by: Университет за национално и световно стопанство (УНСС)
Keywords: Financial Risk; Risk Management; Currency Risk; Corporate Strategy; International Business
Summary/Abstract: The report for the conference focuses on the theoretical foundation for the financial and specifically the currency risk management of the multinational company, different types of currency risk and the approaches for its management and control (taken as an example the international company Actavis). Special attention is drawn to the contemporary policies of risk management of the financial risk. The qualitative and quantitative methods for management and control of the financial risk have been reviewed in the report and their link to the profitability of the company. As a conclusion in the report have been summarized the four main policies in the management of the financial risk of the company – risk transfer, risk acceptance, reduction of risk and risk avoidance.
Book: Членството на България в Европейския съюз: седем години по-късно
- Page Range: 171-184
- Page Count: 14
- Publication Year: 2015
- Language: Bulgarian
- Content File-PDF