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The financial risks and management of peculiarities in international business
Date Issued
2021
Author(s)
Advisor(s)
Institution
Faculty
Abstract
Any direction of financial activity is always followed by risks, therefore present master thesis by the topic of “Peculiarities of financial risk management in international business” is dedicated for issues of peculiarities of risk management.
Firs chapter of this study reviews influence of risks their assessments and methods of management, essence of risk as a science and its importance into finances, also there are discussed categories of financial risks and their analysis and at the end of this chapter examined influential factors of financial risks their management methods and processes.
The Second chapter of this thesis discussed the topic about possibilities of financial risk management in the world, increasing financial risks in the conditions of globalization and at the last part of this chapter I consider financial risks stabilization by government in the conditions of globalization.
Third chapter of current study reviews financial risks analyses in the financial sector, moreover financial risks management in commercial banks and at the end we made examination of Georgian market openness and survey results of financial risks.
Conclusive part encompasses risks generalization and results analyzing based on survey, in particular risks of credit and exchange payments. We identified these problems which companies faces while managing risks. In a shell based on the obtained results we conclude how to advance risk management and keep stabilization.
Firs chapter of this study reviews influence of risks their assessments and methods of management, essence of risk as a science and its importance into finances, also there are discussed categories of financial risks and their analysis and at the end of this chapter examined influential factors of financial risks their management methods and processes.
The Second chapter of this thesis discussed the topic about possibilities of financial risk management in the world, increasing financial risks in the conditions of globalization and at the last part of this chapter I consider financial risks stabilization by government in the conditions of globalization.
Third chapter of current study reviews financial risks analyses in the financial sector, moreover financial risks management in commercial banks and at the end we made examination of Georgian market openness and survey results of financial risks.
Conclusive part encompasses risks generalization and results analyzing based on survey, in particular risks of credit and exchange payments. We identified these problems which companies faces while managing risks. In a shell based on the obtained results we conclude how to advance risk management and keep stabilization.
Degree Name
ბიზნესის ადმინისტრირების მაგისტრი საერთაშორისო ბიზნესის მენეჯმენტში
Degree Discipline
საერთაშორისო ბიზნესის მენეჯმენტის სამაგისტრო საგანმანათლებლო პროგრამა
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Gela Markoidze Samagistro.pdf
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ფინანსური რისკების და მართვის თავისებურებანი საერთაშორისო ბიზნესში
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930.75 KB
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Adobe PDF
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