Opcje rzeczywiste jako instrument zrównoważonego rozwoju w bankowości oraz w zarządzaniu portfelem
DOI:
https://doi.org/10.18559/SOEP.2017.6.2Słowa kluczowe:
Bankowość, Opcje realne, Zarządzanie portfolio, Zarządzanie ryzykiem, Zintegrowany System Zarządzania Ryzykiem, Wzrost gospodarczyAbstrakt
Głównym celem artykułu jest przedstawienie zastosowań opcji rzeczywistych w różnych segmentach rynku finansowego, w szczególności w bankowości i w zarządzaniu portfelem, jako instrumentu zrównoważonego rozwoju. Dziś stosowanie opcji rzeczywistych, mimo ich potencjału, nie jest na rynku finansowym tak powszechne. Autor pokazuje, w jaki sposób mogą być one wykorzystane w bankowości i w zarządzaniu portfelem. Rozdziały od jednego do sześciu artykułu przedstawiają różne definicje i rodzaje opcji finansowych i opcji rzeczywistych, jak i ich porównanie. Ponadto ukazują wykorzystanie opcji rzeczywistych w różnych branżach, ze szczególnym uwzględnieniem sektora bankowego. Rozdziały siódmy i ósmy omawia zrównoważony wzrost, jego definicję i znaczenie, zwłaszcza w bankowości i zarządzaniu portfelem. Zaprezentowano w nich również zastosowanie opcji rzeczywistych jako narzędzia zrównoważonego rozwoju w sektorze bankowym i w zarządzaniu portfelem. Artykuł kończy podsumowanie, w którym autor wyraźnie wskazuje na korzyści z wykorzystania opcji rzeczywistych jako narzędzia zrównoważonego rozwoju.
Pobrania
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