The derivatives market: trends and risks
Книги

The derivatives market: trends and risks

The derivatives market: trends and risks : review / V. Abramova, V. Azarina, A. Andronova [et al.]; The Central Bank of the Russian Federation, Financial Stability Department, Research and Forecasting Department. — Moscow : Bank of Russia, 2021. — 35 p.: il.
Abramova, V., Azarina, V., Andronova, A., Arustamov, D., Akhmetov, A., Galchenko, B., Danilova, E., Zolkin, A., Kuzmina, T., Malygin, A., Morozov, A., Nurimanova, I., Porshakov, A., Stepannikov, I., Shevchuk, I. and Shishkina, P., (2021), The derivatives market: trends and risks: review, The Central Bank of the Russian Federation, Financial Stability Department, Research and Forecasting Department, Moscow: Bank of Russia, 2021, 35 p., RU.
Abramova V, Azarina V, Andronova A, Arustamov D, Akhmetov A, Galchenko B, Danilova E, Zolkin A, Kuzmina T, Malygin A, Morozov A, Nurimanova I, Porshakov A, Stepannikov I, Shevchuk I, Shishkina P. The derivatives market: trends and risks: review. Moscow: Bank of Russia; 2021. 35 p.

Аннотация

The development of the global financial market and economic globalisation are accompanied by the evolution and advancement of derivative financial instruments (hereinafter, derivatives). The over-the-counter (OTC) derivatives market has seen significant changes over the past decades, rapidly adjusting to fluctuations in the economic environment and producing a stabilising effect in response to exogenous and endogenous shocks.
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