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2021, br. 1-2, str. 89-98
Risk management of derivative financial instruments
(naslov ne postoji na srpskom)
BC FAS of Russia, Moscow, Russia

e-adresaKirillova.OY@rea.ru, Emelyanova.ES@rea.ru
Ključne reči: derivative financial instruments; derivatives; securitization of assets; blockchain; risk management
Sažetak
(ne postoji na srpskom)
The subject of the study is derivative financial instruments. At the beginning of the article, the concept of a derivative financial instrument (PFI) is considered, their advantages and disadvantages are given, after which the risks of operations carried out with PFI are formulated. Further, the article discusses the main problems inherent in the PFI market and suggests a number of measures to solve these problems. In conclusion, recommendations are made that will allow for faster development of the Russian market of financial derivatives.
Reference
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*** (1996) Federal law: On the securities market. No. 39-FZ; 22.04
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Melnikova, N., Konnova, A., Logvinova, A. (2019) Problems and ways of their solution in the market of derivative financial instruments in modern conditions. Economic Research, (2): 58-65
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O članku

jezik rada: engleski
vrsta rada: pregledni članak
DOI: 10.5937/intrev2102091K
primljen: 13.04.2021.
prihvaćen: 01.07.2021.
objavljen u SCIndeksu: 07.08.2021.
Creative Commons License 4.0

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