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USE OF DERIVATIVE FINANCIAL INSTRUMENTS FOR RISK MANAGEMENT
Author(s) -
Kristina Garškaitė-Milvydienė
Publication year - 2022
Publication title -
deleted journal
Language(s) - English
Resource type - Conference proceedings
DOI - 10.3846/bm.2022.793
Subject(s) - financial instrument , derivatives market , derivative (finance) , hedge , hedge fund , business , risk management , financial crisis , financial market , financial risk , finance , financial risk management , bond , financial system , economics , futures contract , ecology , macroeconomics , biology

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