Abstract
The financial market is the primary source of financing, which institutions need to finance their projects as well as their own potential to achieve their financial and material resources.
The presence of financial markets in any country reflects the development of the economies of countries and their progress. It aims to secure the flow and pool savings to contribute to the investment and development process by mobilizing and directing financial resources, facilitating trading, diversifying risks and increasing investments.
The development of financial markets linked to the economic development experienced by most countries of the world because of their role in stimulating investment.
So, the financial market influenced by the results of past events to anticipate future events in an economic environment characterized by instability and uncertainty due to the possibility of facing financial risks.
Access this chapter
Tax calculation will be finalised at checkout
Purchases are for personal use only
References
Cougnanir, B.: L’univert Des Risques En Finance – Un Equilibre En Deveir-, Sciences Po, Paris (2007)
Bodie, Z., Merton, R.: Finance. Pearson, Paris (2005)
Mishkin, F.: Monnaie, Banque Et Marché Financier. Pearson, Paris (2007)
Choinel, A., Rouyer, G.: Marché Financier- Structure Et Acteurs-, Collection Bq Itb, Paris (2010)
Bourachot, H.: 100 Fiches Pour Comprendre La Bourse Et Le Marché Financier, Paris (2010)
Barneto, P., Gregorio, G.: Finance. Dunod, Paris (2013)
Joudi, M.: Bourse Des Valeurs Et Marché Financier(2006) www.Firmarkets.Com
Bailly, J.-L., Caire, G., Figliuzzi, A.: Economie Monétaire Et Financière
Ottavj, C.: Monnaie Et Financement De L’économie. Hachette Livre, Paris (2010)
Cobbaut, R.: Théorie Financière. Economica, Paris (1997)
Simon, Y.: Encyclopédie Des Marchés Financiers. Economica, Paris (1997)
Chavagneux, C., Milwiski, F.: Les Enjeux De La Mondialisation. La Découverte, Paris (2007)
Bhattacharia, A.: La Mondialisation Financière Se Heurte A La Crise. Revue Problème Economique, N° 2976, Avr 2009
Ranson, G.-P., Chesneau, D.: Trésorerie, Risques De Marchés Et Gouvernement D’entreprise, Paris (2008)
Aldoseri, M., Worthington, A.C.: Risk Management In Islamic Banking (2008)
Makiyan, S.N.: Risk management and challenges in Islamic banks. J. Islamic Econ. Bank. Finance 4(3), 45–54 (2008)
Guill, D.: Bankers trust and the birth of modern risk management. J. Appl. Corp. Finance 28, 19–29 (2016)
Chauveau, T.: L’équilibre D’un Marché Financier. Lavoisier, Paris (2004)
Collomb, J.-A.: Finance De Marché. Eska, Paris (1999)
Rebereau, M.: Les Indices Economiques Et Les Marchés Financiers. DUNOD, Paris (2008)
Dif, A., Hamdani, Z.: The economics of intangible assets: from just value-to-value creation. Advances in Human Factors, Business Management and Society Proceedings of the AHFE (2019)
Cougnanir, B.: L’univert Des Risques En Finance –Un Equilibre En Deveir-, Sciences Po, Paris (2007)
Luisot, J.-P., Gautier-Gaillard, S.: Diagnostic Des Risques. Afnor, Paris (2007)
Dallene, P.: De L’internationalisation A La Globalisation. Ellipses, Paris (2007)
Masood, O., Al Suwaidi, H.: Credit risk management: a case differentiating Islamic and non-Islamic banks in UAE. Qual. Res. Financ. Market 4(2/3) (2012)
Amelon, J.-L.: Les Nouveaux Défis De L’internationalisation «Quel Développement International Pour Les Entreprises Après La Crise?». De Book, Bruxelles (2010)
Erik, B.: The Credit Risk of Financial Instruments. Macmillan Business, London (1993)
Santos, J., Syed, L.: A Talk On Global Financial Crisis (2008)
Caudamin, G.: Banque Et Marché Financier. Economica, Paris (1998)
Jacquillat, B., Solnik, B.: Marché Financier: Gestion De Portefeuille Et Des Risques. Dunod, Paris (1997
Jura, M.: Technique Financière Internationale. Dunod, Paris (2003)
Brigham, E.F.: Fundamentals of Financial Management. The Dryden Press, USA (1998)
Percie Du Sert, A.: Risque Et Contrôle Du Risque. Economica, Paris (1999)
Bouyssou, J.: Théorie Générale Du Risque. Economisa, Paris (1997)
Kuester, K., Mittnik, S., Paolella, M.S.: Value-at-risk prediction: a comparison of alternative strategies. J. Financ. Econom. 4, 53–89 (2006)
Boucher, B.: Les Crises Financières «Identification Et Comparaison Des Crises Boursières». Ela Documentation Française, Paris (2004)
Christoffersen, P.F.: Elements of Financial Risk Management, London (2003)
Ben Selma, M., Echchabi, R., Azouzi, A., Rachdi, D.: risk management tools practiced in Islamic banks: evidence in Mena region. J. Islamic Account. Bus. 5, 90 (2014)
Bergsdorf, D.: Manager Your Risk or Risk Your Management. Public Management, USA (1999)
Cummins, A.D.: The Rise of Risk Management, Economic Review. Federal Reserve Bank of Atlanta (1998)
Penny, C.: Financial Risk Management Sources. Inconstant, vol. 22, no. 6 (1999)
Stewart, T.A.: Management Riskin The 21st Century. Fortune, vol. 144, no. 03 (2000)
Angelopoulos, P., Mourdoukoutas, P.: Banking Risk Management in a Globalizing Economy. Qourum Books, London (2001)
Author information
Authors and Affiliations
Corresponding author
Editor information
Editors and Affiliations
Rights and permissions
Copyright information
© 2020 The Editor(s) (if applicable) and The Author(s), under exclusive license to Springer Nature Switzerland AG
About this paper
Cite this paper
Hamdani, Z., Dif, A., Zairi, B., Benziane, A., Hamdani, M. (2020). Factors Affecting the Behavior of Financial Markets in the Light of Financial Risks. In: Kantola, J., Nazir, S., Salminen, V. (eds) Advances in Human Factors, Business Management and Leadership. AHFE 2020. Advances in Intelligent Systems and Computing, vol 1209. Springer, Cham. https://doi.org/10.1007/978-3-030-50791-6_24
Download citation
DOI: https://doi.org/10.1007/978-3-030-50791-6_24
Published:
Publisher Name: Springer, Cham
Print ISBN: 978-3-030-50790-9
Online ISBN: 978-3-030-50791-6
eBook Packages: EngineeringEngineering (R0)