Control of returns and risks Financial derivatives

Main Article Content

ا. م. د قاسم هادي موسى
م. م. محمد عبد اللطيف خطاب

Abstract

Derivatives represent financial contracts related to items outside the budget and determine their value
Based on indicators or related tools. Therefore, the process of managing and controlling it
Its returns and the resulting risks are among the basic tasks of the owner or the one who makes the financial decision
(Bank; financial institution) This research came to try to answer how to control the
The returns of these derivatives and that this task has been addressed through three chapters and conclusions
And recommendations:
The first chapter deals with derivatives, their concept, types and management.
The second chapter deals with risk, its concept and types.
The third chapter - risk and return.


Dealing with derivatives and managing them and achieving the required financial gain is done according to experience
And the efficiency of the decision-maker, so the process of qualifying this person and providing a database for him came in
Introduction to the things he needs to make the right decision.

Article Details

How to Cite
Control of returns and risks Financial derivatives. (2023). Journal of the College of Basic Education, 21(88), 113-144. https://doi.org/10.35950/cbej.v21i88.9923
Section
pure science articles

How to Cite

Control of returns and risks Financial derivatives. (2023). Journal of the College of Basic Education, 21(88), 113-144. https://doi.org/10.35950/cbej.v21i88.9923

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