Investigation of financial risk management issues in the context of an increased key rate

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The purpose of the study is to consider the possibilities of financial risk management in conditions of an increased key rate. The object of the study is financial risk, the subject of the study is financial risk management, the restrictive aspect is the situation of an increased key rate, which at the time of the study is represented in the Russian economy. Research methods - system analysis, content analysis, induction.

Currency, debt, borrowing, investment, capital, monitoring, price, efficiency

Короткий адрес: https://sciup.org/140306786

IDR: 140306786

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