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dc.contributor.author Cîrlan, Ana
dc.date.accessioned 2023-01-13T07:57:36Z
dc.date.available 2023-01-13T07:57:36Z
dc.date.issued 2022-06
dc.identifier.isbn 978-9975-147-65-1 (PDF)
dc.identifier.uri https://irek.ase.md:443/xmlui/handle/123456789/2349
dc.description CÎRLAN, Ana. Currency risk management in the bank = Managementul riscului valutar in bancă. În: Strategii şi politici de management în economia contemporană [Resursă electronică]: conf. şt. intern., ediţia a 7-a, 9-10 iunie 2022. Chişinău: ASEM, 2022, pp. 82-86. ISBN 978-9975-147-65-1 (PDF). en_US
dc.description.abstract The importance and actuality of the theme is characterized by the fact that at the base of every entity, be it commercial or non-commercial, private or public, financial, there are resources, whether they are in foreign currency or the national currency. In addition, thanks to their correct management by using the most efficient technologies and well-structured policies, it will be possible to avoid and minimize any risk. Currency risk represents the probability of suffering a loss or non-realization of the forecasted profits due to the variation of the exchange rate on the market, in a direction unfavorable to the adopted position. Currency risk in the bank can occur at any time because it cannot be predicted. That is why each bank practices different methods to prevent this risk. In order to protect against possible future losses, the bank must create a complex evaluation system. The development of such a system is related to conducting multiple researches. Exchange rate fluctuations negatively influence any activity, including bank activity. Each bank is oriented towards minimizing or eliminating this exchange rate risk by using different well-determined methods that will contribute to the stability of the exchange rate. The purpose of the research is to highlight the aspects that comprise the management of foreign exchange risk in the bank, the methods used regarding the effective management of the existing foreign exchange risk, the characterization of foreign exchange risk management strategies. CZU: 005.915:330.131.7:336.743; JEL: M16, F31, E58, G21. en_US
dc.language.iso other en_US
dc.publisher ASEM en_US
dc.subject banking risk en_US
dc.subject currency risk en_US
dc.subject currency risk management en_US
dc.title Currency risk management in the bank en_US
dc.title.alternative Managementul riscului valutar in bancă en_US
dc.type Article en_US


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