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Financial Risk Management Strategies In Volatile Markets

Hannah Yan

In today's interconnected and volatile financial markets, managing risks has become paramount for businesses to survive and thrive. This article delves into the complexities of financial risk management strategies, particularly in the context of volatile markets. It explores the various types of financial risks businesses face, such as market risk, credit risk, liquidity risk, and operational risk, and examines the challenges posed by market volatility. The article then discusses effective risk management strategies that businesses can adopt to mitigate these risks and enhance their resilience in uncertain times. From diversification and hedging to stress testing and scenario analysis, a comprehensive approach to financial risk management is essential for navigating turbulent markets successfully