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Considerations Regarding Financial Risk Management in Order to Maximize Earnings During the Coronavirus Pandemic

   | 23 wrz 2020

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This paper addresses a very topical issue, given by the world of financial investments and especially by the period of great uncertainty that we are going through. It is rightly said that it is the simplest and most enjoyable thing to be an investor when the market grow/hikes/rises. Differences between investors occur when feelings of fear and panic become widespread and flood the stock markets. Are we now in a period of sharp declines in the world’s financial markets or is it just a correction? Experimenting with new asset classes, identifying the huge opportunities that the market has to offer, the correct management of risks and possible earnings are some of the most important aspects in the context of getting the highest possible earnings. This paper focuses on risk management in order to maximize earnings during a large-scale crisis, such as the current global situation generated by coronavirus or how you can add value to the investor spirit in your portfolio.

eISSN:
2451-3148
ISSN:
1224-5178
Język:
Angielski