The Improvement of the Market Risk Management Mechanism at the Automotive Industry Enterprises

被引:0
|
作者
Polteva, T. [1 ]
Antipov, D. [2 ]
Klassen, N. [3 ]
机构
[1] Togliatti State Univ, Tolyatti, Russia
[2] Samara Natl Res Univ, Samara, Russia
[3] Peter Great St Petersburg Polytech Univ, St Petersburg, Russia
来源
PROCEEDINGS 2019 AMITY INTERNATIONAL CONFERENCE ON ARTIFICIAL INTELLIGENCE (AICAI) | 2019年
关键词
Market risk; currency risk; interest rate risk; hedging; derivatives; futures; option; forward; swap; automotive industry; MODELS;
D O I
10.1109/aicai.2019.8701324
中图分类号
TP18 [人工智能理论];
学科分类号
081104 ; 0812 ; 0835 ; 1405 ;
摘要
Risk is an integral part of the activities of any organization. The automotive industry is influenced by many factors that can contribute to a decrease in the financial performance of enterprises in a given industry. At the same time, the performance of enterprises in the automotive industry is significantly affected by market risks; the main ones are currency and interest risks. This article highlights the main methods and tools for managing market risks in the automotive industry. The analysis of market risks was carried out on the example of representatives of this industry (PJSC KAMAZ, PJSC SOLLERS, PJSC AVTOVAZ), the main methods of market risk management that are used by Russian enterprises of the automotive industry are outlined. The paper proposes an algorithm for minimizing market risks at the enterprises of the automotive industry through hedging, hedging mechanism with the help of exchange derivatives is also described. In conclusion, measures have been developed to improve the market risk management system in the automotive industry.
引用
收藏
页码:1005 / 1014
页数:10
相关论文
共 50 条
  • [31] Green supply chain management in the automotive industry: A study in Brazil
    Lopes, Lineia Jollembeck
    Pires, Silvio R. I.
    BUSINESS STRATEGY AND THE ENVIRONMENT, 2020, 29 (06) : 2755 - 2769
  • [32] A CONCEPTUAL MODEL OF PROCUREMENT MANAGEMENT FOR NEW PRODUCTS IN THE AUTOMOTIVE INDUSTRY
    Dordevic Milutinovic, Lena
    Cvijovic, Nikola
    Milutinovic, Radul
    Stosic, Biljana
    INTERDISCIPLINARY MANAGEMENT RESEARCH XVIII (IMR 2022), 2022, : 62 - 75
  • [33] A STUDY OF THE EFFECT OF MARKET ORIENTATION ON MALAYSIAN AUTOMOTIVE INDUSTRY SUPPLY CHAIN PERFORMANCE
    Ashari, Hasbullah
    Yusoff, Yuhanis Mohd
    Zamani, Siti Norhasmaedayu Mohd
    Talib, Asmat Nizam Abdul
    INTERNATIONAL JOURNAL OF TECHNOLOGY, 2018, 9 (08) : 1651 - 1657
  • [34] Method to Evaluate the Profitability and Risk Structure of Projects in the Automotive Industry
    von Bredow, M.
    Reinhart, G.
    2009 IEEE INTERNATIONAL CONFERENCE ON INDUSTRIAL ENGINEERING AND ENGINEERING MANAGEMENT, VOLS 1-4, 2009, : 1588 - 1592
  • [35] Supply Chain Risk Mitigation Strategies in Automotive Industry: A Review
    Dehdar, Ehsan
    Azizi, Amir
    Aghabeigi, Salar
    2018 IEEE INTERNATIONAL CONFERENCE ON INDUSTRIAL ENGINEERING AND ENGINEERING MANAGEMENT (IEEE IEEM), 2018, : 84 - 88
  • [36] STAKEHOLDER MANAGEMENT IN INDUSTRIALIZATION PROJECTS: AN AUTOMOTIVE INDUSTRY CASE STUDY
    Carvalho, Hugo
    Tereso, Anabela
    Fernandes, Gabriela
    Faria, Joao
    Barbosa, Jose
    4TH INTERNATIONAL CONFERENCE ON PRODUCTION ECONOMICS AND PROJECT EVALUATION (ICOPEV 2018), 2018, : 267 - 273
  • [37] POLCA system for supply chain management: simulation in the automotive industry
    Severino, Maico Roris
    Godinho Filho, Moacir
    JOURNAL OF INTELLIGENT MANUFACTURING, 2019, 30 (03) : 1271 - 1289
  • [38] PROJECT MANAGEMENT ON NEW PRODUCT DEVELOPMENT AND LAUNCH IN THE AUTOMOTIVE INDUSTRY
    Popa, Virgil
    Tanasescu, Donna
    Dinca, Corina
    Nicolae, Mihai
    ADVANCED MANUFACTURING ENGINEERING, QUALITY AND PRODUCTION SYSTEMS, 2010, : 217 - +
  • [39] Formation Mechanism Emissions in Case of Reconditioning by Welding in the Automotive Industry Cranckshafts
    Semenescu, Augustin
    Chivu, Oana Roxana
    Babis, Claudiu
    Apostolescu, Zoia
    Petrescu, Valentin
    Balan, George
    REVISTA DE CHIMIE, 2016, 67 (07): : 1281 - 1283
  • [40] A note on asset management and market risk
    Scherer, Bernd
    FINANCIAL MARKETS AND PORTFOLIO MANAGEMENT, 2010, 24 (03) : 309 - 320