Risk Management Strategies in Financial Decision Making
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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.
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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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