Dynamics of financial indicators of the forest industry in the world

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The purpose of the article is to study the dynamics of financial indicators of the forest industry in the world. The statistical analysis used calculations of the total liquidity ratio and the leverage ratio, correlation analysis and subsequent calculation of the regression model to identify significant factors affecting revenue, calculation of standardized coefficients, calculation of a one-factor regression model. Using calculations of coefficients and regression models, it was revealed that the business model of the largest enterprise in the Russian forest industry correlates with the global business model and has a forecast/fact deviation of 2%.

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Regression analysis, coefficients

Короткий адрес: https://sciup.org/170196838

IDR: 170196838   |   DOI: 10.24412/2500-1000-2022-11-4-214-218

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