Financial Risk Management in International Markets

Authors

  • Dr. Juan Martinez Guanghua School of Management, Peking University, Beijing, China Author

Keywords:

Financial risk management, International markets, Exchange rate risk, Interest rate risk, Hedging techniques

Abstract

Financial risk management in international markets is a critical aspect of modern global business operations. As companies expand their operations across borders, they are exposed to various risks such as exchange rate fluctuations, interest rate changes, political instability, and regulatory differences. Effectively managing these risks is essential for ensuring financial stability and achieving sustainable growth. This article provides an overview of financial risk management in international markets, discussing key concepts, methods, and best practices. It explores the importance of risk identification, assessment, and mitigation strategies, emphasizing the role of financial instruments and hedging techniques. Additionally, it examines the challenges and opportunities associated with managing financial risks in the dynamic landscape of international business.

Downloads

Published

2023-12-31

How to Cite

Financial Risk Management in International Markets. (2023). Center for Management Science Research, 1(2), 1-11. http://cmsr.info/index.php/Journal/article/view/28