01.12.2016.
Review article
SWAP AS FINANCIAL MARKET RISK MANAGEMENT IN TRANSITION COUNTRIES
In conditions of globalisation and deregulation, banking business has become very risky. Turbulant environment especially apostrophized the meaning of managing the market risk – intrest rate risk, exchange rate risk and risk of changing asset price. Investors (banks) make decisions about modalities and risk managment techniques.The choice ranges fr...
By Husein Mehmedović, Goran Šijan, Nedina Moralić