Methods of financial analysis in assessment of liquidity risk

Автор: Shaginyan A.A.

Журнал: Форум молодых ученых @forum-nauka

Статья в выпуске: 5-3 (21), 2018 года.

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In this article, the most common methods of financial analysis in assessing liquidity risk, the practice of their application in modern economic conditions are considered. Based on the liquidity analysis of the balance sheet, liquidity risk was diagnosed. The most convenient form of the liquidity imbalance risk analysis was identified.

Gap-анализ, liquidity risk, insolvency, liquidity and solvency analysis, liquidity balancing matrix, gap-analysis

Короткий адрес: https://sciup.org/140283051

IDR: 140283051

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