HEDGING AS A METHOD OF BANKS’ RISKS MANAGING.

  • О. М. Кузьмак Candidate of Sciences (Economics), associate professor, doctoral student of Ternopil National Economic University
Keywords: swap contracts, hedging, risk, risk management, banking risks

Abstract

In the article the hedging as a method of management of banking risks in the domestic banking system and the ways to improve it for the efficient management of banking institutions.

 

Published
2018-06-19
Section
Development of financial and credit relations