Get premium membership and access questions with answers, video lessons as well as revision papers.

Give the strategies used to manage financial risk

      

Give the strategies used to manage financial risk

  

Answers


Dana
Transferring the risk to another party through use of derivatives
Avoiding the risk by avoiding certain investments
Reducing the negative effects of the risk or mitigation through the use of diversification instruments and equity
Accepting some or all of the consequences of the risk. This depends on the risk profile of the investor

Dana05 answered the question on July 15, 2019 at 14:59


Next: Give the definition of financial risk management
Previous: Briefly explain the characteristics of financial assets

View More Economics Questions and Answers | Return to Questions Index


Learn High School English on YouTube

Related Questions