Abstract
In this article we investigated the causes and features of investment risks in the gold market, studied the components of investment risks in this market, and analyzed the main methods of insuring those investment risks. In addition, we presented the methods and financial investment instruments used in gold operations and provided the conceptual analyses of investment risk in the gold market.
Highlights
In this article we investigated the causes and features of investment risks in the gold market, studied the components of investment risks in this market, and analyzed the main methods of insuring those investment risks
The terms of transition in the market, political changes, increased competition, fluctuations in inflation, and economic crisis increase the risk functioning of the gold market. Those who participate in the gold market: investors, insurers, other financial institutions are exposed to many types of risks
In the Ukrainian domestic economic literature; most of the theoretical and practical aspects of the problem of insurance investment risks in the gold market are not yet determined. It is focused on the effect of investment risk in the development of the gold market
Summary
The ways in which the modern market economy operates and often clashes with sound risk management, is a threat to any bank. Is the bank, as a commercial institution, and each of the participants in the gold market who are seeking to make a profit is exposed to risks. The terms of transition in the market, political changes, increased competition, fluctuations in inflation, and economic crisis increase the risk functioning of the gold market. Those who participate in the gold market: investors, insurers, other financial institutions are exposed to many types of risks. These risks include market transitions, political changes, increased competition, rates of inflation, and economic crises
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