PROBLEMS OF RISK MANAGEMENT ON THE STOCK MARKET
Journal: Science Journal "NovaInfo" (Vol.2, No. 61)Publication Date: 2017-03-16
Authors : Novikova Irina Nikolaevna;
Page : 246-254
Keywords : EQUITY; STOCK MARKET RISK; CAPITAL OF THE BANK; THE STOCK RISK FACTORS;
Abstract
The article is devoted to the actual topic of our time - the risk management in the stock market. This article discusses the basics of risk management on the stock. We used the codes, tools and major market markers in the ratio of "risk - yield". We consider the main objectives of risk management, particularly in the area of its online trading. Shows the risk management system in the stock market.
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Last modified: 2017-09-20 17:37:40