An Analysis of Risk Management in Financial Markets and Its Effects
An Analysis of Risk Management in Financial Markets and Its Effects

Amir Samimi; Alireza Bozorgian; Marzieh Samimi

Volume 3, Issue 1 , January 2022, , Pages 1-7

http://dx.doi.org/10.22034/jeires.2022.1.1

Abstract
  This study examines risk management in financial markets and its effects. Risk and capital management can happen anywhere in the stock market. This happens when an investor buys the ...  Read More