Zobrazit minimální záznam
dc.contributor.author |
Makovský, Zdeněk |
|
dc.contributor.author |
Tetřevová, Liběna |
|
dc.date.accessioned |
2010-04-08T06:46:22Z |
|
dc.date.available |
2010-04-08T06:46:22Z |
|
dc.date.issued |
2007 |
|
dc.identifier |
Univerzitní knihovna (studovna) |
cze |
dc.identifier.issn |
1211-555X |
|
dc.identifier.uri |
http://hdl.handle.net/10195/35588 |
|
dc.description.abstract |
The article deals with the problems of financial derivatives in connection with
financial instruments and hazard. Firstly, alternative reasons of using financial derivatives
are explained. Then, financial derivatives as financial instruments are characterized. At the
end of the article the attention is paid to the financial derivatives as gambling. |
eng |
dc.format |
p. 112-116 |
eng |
dc.language.iso |
cze |
|
dc.publisher |
Univerzita Pardubice |
cze |
dc.relation.ispartof |
Scientific papers of the University of Pardubice. Series D, Faculty of Economics and Administration. 12 (2007) |
eng |
dc.rights |
Bez omezení |
cze |
dc.subject |
financial derivatives |
eng |
dc.subject |
financial instruments |
eng |
dc.subject |
hazard |
eng |
dc.subject |
Risk |
eng |
dc.subject |
hedging |
eng |
dc.subject |
trading |
eng |
dc.title |
Finanční deriváty jako finanční instrumenty a hazard |
cze |
dc.type |
Article |
eng |
dc.identifier.signature |
47940-12 |
|
dc.peerreviewed |
yes |
eng |
dc.publicationstatus |
published |
eng |
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