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PL EN


2008 | 11 | 1(38) | 84-90

Article title

The Use of Derivatives in Currency Risk Management (Part I)

Title variants

Languages of publication

PL

Abstracts

EN
In market economy foreign currency transactions occur every day. They involve currency risk occurrence that can be defined as danger of bank loses due to the unfavourable change of currency exchange rates. There are traditional methods used in currency risk management as well as many kinds of derivatives that limit the risk of transactions run in foreign currencies.

Keywords

Year

Volume

11

Issue

Pages

84-90

Physical description

Document type

ARTICLE

Contributors

author
  • G. Golawska-Witkowska, Politechnika Gdanska, Wydzial Zarzadzania i Ekonomii, Katedra Finansów, ul. Narutowicza 11/12, 80-952 Gdansk, Poland

References

Document Type

Publication order reference

Identifiers

CEJSH db identifier
08PLAAAA05485

YADDA identifier

bwmeta1.element.fbe3431f-86ca-3976-b802-0ac952515e19
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