The method of determining the coefficients of financial risk in business model
Автор: Gilmutdinov V.V.
Журнал: Экономика и социум @ekonomika-socium
Статья в выпуске: 11 (42), 2017 года.
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This article describes the method of determining the coefficients of financial risk in the business model. The opportunity to apply in the model of the enterprise risk assessment allows regulatory method that is based on the use of ratios in financial analysis. With the help of standard method it is impossible to form a complete list for risk assessment, but you can generate this list for risk control. This method allows the use of coefficients of different groups for the model.
Enterprise model, the coefficients of financial risk, regulatory method, the coefficients of financial analysis, control of financial risk
Короткий адрес: https://sciup.org/140234897
IDR: 140234897