Please use this identifier to cite or link to this item: https://www.um.edu.mt/library/oar/handle/123456789/38107
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dc.contributor.authorGavel, O. Yu.
dc.contributor.authorUsanov, A. Yu.
dc.contributor.authorBarilenko, V. I.
dc.contributor.authorRokotyanskaya, V. V.
dc.contributor.authorValuiskov, N. V.
dc.date.accessioned2019-01-09T09:50:28Z
dc.date.available2019-01-09T09:50:28Z
dc.date.issued2018
dc.identifier.citationGavel, O. Yu., Usanov, A. Yu., Barilenko, V. I., Rokotyanskaya, V. V., & Valuiskov, N. V. (2018). Methodological basis for justification of the risk-oriented strategy development : the case of a grain trading company. European Research Studies Journal, 21(Special issue 2), 312-322.en_GB
dc.identifier.issn11082976
dc.identifier.urihttps://www.um.edu.mt/library/oar//handle/123456789/38107
dc.description.abstractThe article discusses the perspectives of hedging instruments used for justification and monitoring the effectiveness of risk-oriented strategies of development of grain trading companies. The analytical tools that support decision-making under risk in agriculture are identified. The characteristics of the occurrence and realization of the risk factors in the grain market, the destructive potential of individual risks of agribusiness are also investigated. The method of strategy development in conditions of high uncertainty in terms of the price on grain and derived products are proposed. It includes identification and assessment of the potential effects of risks, revealing the most dangerous risks for hedging by mean of option models and derivatives. Analytical model for justification of risk-oriented strategy for grain traders companies allows maintaining its financial sustainability regardless of the state of the grain business traditional risks. It positively affects on the key factors of the market value.en_GB
dc.language.isoenen_GB
dc.publisherUniversity of Piraeus. International Strategic Management Associationen_GB
dc.rightsinfo:eu-repo/semantics/openAccessen_GB
dc.subjectInternational tradeen_GB
dc.subjectForeign trade regulation -- Russiaen_GB
dc.subjectGrain trade -- Russiaen_GB
dc.subjectFinancial risk management -- Russiaen_GB
dc.subjectAgriculture -- Economic aspects -- Russiaen_GB
dc.titleMethodological basis for justification of the risk-oriented strategy development : the case of a grain trading companyen_GB
dc.typearticleen_GB
dc.rights.holderThe copyright of this work belongs to the author(s)/publisher. The rights of this work are as defined by the appropriate Copyright Legislation or as modified by any successive legislation. Users may access this work and can make use of the information contained in accordance with the Copyright Legislation provided that the author must be properly acknowledged. Further distribution or reproduction in any format is prohibited without the prior permission of the copyright holder.en_GB
dc.description.reviewedpeer-revieweden_GB
dc.publication.titleEuropean Research Studies Journalen_GB
Appears in Collections:European Research Studies Journal, Volume 21, Special Issue 2



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