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  • Search: subject:"derivative financial instruments"
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Year of publication
Subject
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derivative financial instruments 8 financial instruments 6 financial markets 6 currency risk 5 derivative 5 financial statements 5 financial system 5 bonds 4 deposit insurance 4 financial market 4 financial sector 4 hedging 4 international financial markets 4 cash flow 3 cash flows 3 derivative instruments 3 derivatives markets 3 financial assets 3 financial institutions 3 financial policies 3 financial resources 3 future cash flows 3 hedge 3 hedge accounting 3 hedges 3 hedging instruments 3 interest rate risk 3 international financial system 3 international standards 3 liquid asset 3 moral hazard 3 net cash flows 3 present value 3 stock exchange 3 Bank supervision 2 Derivat 2 Derivative 2 Derivative financial instruments (derivatives) 2 Financial Sector Assessment Program 2 Financial institutions 2
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Online availability
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Free 11 CC license 1
Type of publication
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Book / Working Paper 7 Article 4
Type of publication (narrower categories)
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Article in journal 2 Aufsatz in Zeitschrift 2 Article 1
Language
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English 6 Undetermined 5
Author
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Garskaite-Milvydiene, Kristina 2 Martinkute-Kauliene, Raimonda 2 Sullivan, Kenneth 2 Novak, Oksana 1 Osadcha, Tetiana 1 Papaioannou, Michael G. 1 Petruk, Oleksandr 1 Spanò, Marcello 1 ЖИТЛУХИНА О.Г. 1
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Institution
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International Monetary Fund (IMF) 6 International Monetary Fund 3 Facoltà di Economia, Università degli Studi dell'Insubria 1
Published in...
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IMF Working Papers 4 IMF Staff Country Reports 2 Baltic Journal of Economic Studies 1 Contemporary Economics 1 Contemporary economics 1 Economics and Quantitative Methods 1 Известия Дальневосточного федерального университета. Экономика и управление 1
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Source
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RePEc 8 ECONIS (ZBW) 2 EconStor 1
Showing 1 - 10 of 11
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Concept and classification of derivative financial instruments as a metodological precision on their regulation in the financial services market
Novak, Oksana; Osadcha, Tetiana; Petruk, Oleksandr - In: Baltic Journal of Economic Studies 5 (2019) 3, pp. 135-144
Persistent link: https://www.econbiz.de/10012200180
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Examination of the relationship between derivative financial instruments and the economic development of Lithuania
Garskaite-Milvydiene, Kristina; Martinkute-Kauliene, … - In: Contemporary economics 15 (2021) 2, pp. 240-255
Derivative financial instruments play a major role in financial markets. However, there are rather contradictory views …
Persistent link: https://www.econbiz.de/10012544359
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Examination of the relationship between derivative financial instruments and the economic development of Lithuania
Garskaite-Milvydiene, Kristina; Martinkute-Kauliene, … - In: Contemporary Economics 15 (2021) 2, pp. 240-255
Derivative financial instruments play a major role in financial markets. However, there are rather contradictory views …
Persistent link: https://www.econbiz.de/10014544584
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Italy: Technical Note on Financial Risk Management and Supervision of Cassa Di Compensazione e Garanzia S.P.A.
International Monetary Fund (IMF); International … - 2013
This Technical Note analyzes financial risk management and supervision of Cassa Di Compensazione e Garanzia S.P.A. (CC&G) in Italy. CC&G, the Italian central counterparty (CCP), is systemically important for the Italian market, and through the link with the French CCP, it is also relevant in...
Persistent link: https://www.econbiz.de/10011244603
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A survey of the theoretical models of corporate hedging
Spanò, Marcello - Facoltà di Economia, Università degli Studi dell'Insubria - 2012
This study surveys theoretical models providing alternative rationales for corporate hedging.
Persistent link: https://www.econbiz.de/10011201866
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ПРОИЗВОДНЫЕ ФИНАНСОВЫЕ ИНСТРУМЕНТЫ В АСПЕКТЕ БУХГАЛТЕРСКОГО ФИНАНСОВОГО УЧЕТА
ЖИТЛУХИНА О.Г. - In: Известия Дальневосточного … (2011) 3, pp. 62-71
Рассмотрены различные подходы к определению производных финансовых инструментов, показаны классификационные признаки последних, характеризующие их как...
Persistent link: https://www.econbiz.de/10011239799
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Italy; Financial Sector Assessment Program: Detailed Assessment of Observance of the IMF Code of Good Practices on Transparency in Monetary and Financial Policies: Banking Supervision
International Monetary Fund (IMF); International … - 2006
This paper discusses a Detailed Assessment of the Observance of the IMF Code of Good Practices on Transparency in Monetary and Financial Policies (MFPT Code)—Banking Supervision for Italy. Banca d’Italia (BI) notes the assessment’s recognition of the very high degree of...
Persistent link: https://www.econbiz.de/10005768519
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Exchange Rate Risk Measurement and Management; Issues and Approaches for Firms
Papaioannou, Michael G. - International Monetary Fund (IMF) - 2006
Measuring and managing exchange rate risk exposure is important for reducing a firm's vulnerabilities from major exchange rate movements, which could adversely affect profit margins and the value of assets. This paper reviews the traditional types of exchange rate risk faced by firms, namely...
Persistent link: https://www.econbiz.de/10005825991
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Transparency in Central Bank Financial Statement Disclosures
Sullivan, Kenneth - International Monetary Fund (IMF) - 2005
The IMF's development of the Code of Good Practices on Transparency in Monetary and Financial Policies and the introduction of safeguards assessments have increased emphasis on transparency of the disclosures made in central bank financial statements. This paper, which updates WP/00/186, looks...
Persistent link: https://www.econbiz.de/10005599561
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Toward a Framework for Safeguarding Financial Stability
International Monetary Fund (IMF); International … - 2004
This paper examines the emergence of financial stability as a key policy objective. It discusses the underlying trends in the financial system, as well as the role of finance in relation to money, the real economy, and public policy. Financial stability is defined in terms of its ability to help...
Persistent link: https://www.econbiz.de/10005825656
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