Risk management of corporate enterprises’ capital structure

Author:

TERESHHENKO OlehORCID, ,GRINCHENKO ViktoriiaORCID,

Publisher

State Educational-Scientific Establishment The Academy of Financial Management

Reference17 articles.

1. 1. Malz, A. M. (2011). Financial Risk Management: Models, History, and Institutions. Wiley.

2. 2. Fabozzi, F. J. (2003). Financial management & analysis. New Jersey: John Wiley & Sons, Inc.

3. Interest Rates and Credit Risk;Gonzalez-Aguado;Journal of Money Credit and Banking Vol 47 No 2-3,2015

4. 4. Hoffmann, P., Langfield, S. (2018). Who Bears Interest Rate Risk? Working Paper Series, 2176. Retrieved from https://www.ecb.europa.eu//pub/pdf/scpwps/ecb.wp2176.en.pdf.

5. Rate of Cost on Investment Capital in Emerging Markets;Tereshenko;Sosiety Integration Education VI,2019

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