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مجلد 4 عدد 1 (2025): Emirati Journal of Business, Economics and Social Studies

Mitigating Financial Risks in Modern Businesses: Strategies for Market Volatility and Credit Risk Management

  • Youssef Gamil Masoud Shaaban
مقدم
May 6, 2025
منشور
2025-06-06

الملخص

The exponential increase in bankruptcy risks in competitive business environments necessitates the implementation of effective risk management strategies to ensure sustainability and growth. This paper explores how companies and startups address financial risks such as market volatility and credit risk, which are critical in today's dynamic economic landscape. Techniques like hedging, which involves purchasing insurance for assets, and diversification, an investment strategy that spreads investments across various income sources, are highlighted as crucial methods for mitigating these risks. Additionally, innovative solutions for managing credit risk, including the use of sophisticated credit scores and setting prudent credit limits, are discussed in detail. Real-world examples, such as how Southwest Airlines uses futures contracts to hedge against fuel price fluctuations and how Tesla diversifies its product line, are provided to illustrate the effectiveness of these strategies. These insights demonstrate the practical application and benefits of robust financial risk management.

المراجع

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