Template-Type: ReDIF-Article 1.0 Author-Name: Tarakanov Sergey I. Author-Email: fondr@abik.ru Author-Workplace-Name: Budget and Treasury Academy of the Ministry of Finance of the Russian Federation Title: Risk Management and the Financial Markets Abstract: The article author examines the topical issue of the financial market risk management and describes the characteristics of the risk management methods and techniques. He gives examples of active risk management techniques’ use. He shows how technical and fundamental analysis is performed and explains why these are the most efficient methods to be used to decrease the risks when operating on the securities market. Classification-JEL: G10, G17 Keywords: financial risks, risk management, stock market, currency market, default, securities Journal: Finansovyj žhurnal — Financial Journal Pages: 147-152 Issue: 3 Year: 2010 Month: July File-URL: http://www.finjournal-nifi.ru/images/FILES/Journal/Archive/2010/3/statii/100314.pdf File-Format: Application/pdf Handle: RePEc:fru:finjrn:100314:p:147-152