Derivatives and risk management in the new EU regulatory landscape

Authors

OŠKRDALOVÁ Gabriela

Year of publication 2008
MU Faculty or unit

Faculty of Economics and Administration

Citation
Description "Derivatives and risk management in the new EU regulatory landscape“ is a collection of seminar papers presented at the “Derivatives and risk management in the new EU regulatory landscape” seminar organized by the Institute for Financial Market. The collection contains seminar papers dealing with portfolio valuation and hedging using derivatives and complex structured products, derivatives use in the Czech asset management and pension fund industry, changes in the Capital Requirements Directive (CRD) and the reform of the UCITS directive. Seminar papers are targeted at persons with an interest in portfolio and risk management, the use of derivatives for hedging purposes as well as the impact of the new EU regulation on the activities of banks and investment companies.

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