Risk Management Strategies in Financial Decision Making

Main Article Content

Haider J. Obead & Ahmed Abd Farhan

Abstract

This study investigates risk management strategies in financial decision-making processes. It examines how businesses and investors identify, assess, and mitigate financial risks, such as market volatility, credit risks, and operational uncertainties, to make informed and prudent financial choices.

Article Details

How to Cite
Haider J. Obead & Ahmed Abd Farhan. (2023). Risk Management Strategies in Financial Decision Making. European Journal of Contemporary Education, 12(1). Retrieved from https://ejournal1.net/index.php/ejce/article/view/432
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Articles