Uncovering Financial Risks in Brokerage Activities: Impact on Investor Stability
The article discusses the financial risks faced by brokerage companies in Ukraine. It aims to analyze and classify these risks to help reduce investor losses and improve management efficiency. The main types of risks identified include investor behavior, investment risks, and risks of marginal lending. By understanding and managing these risks, brokerage companies can increase their income and contribute to the financial stability of both themselves and their investors.