Methods of financial risk assessment
Автор: Chernov A.V.
Журнал: Международный журнал гуманитарных и естественных наук @intjournal
Рубрика: Экономические науки
Статья в выпуске: 5-4 (68), 2022 года.
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The article considers models for assessing financial risks. Each method is described in detail through its characteristics, formulas for calculations, emerging risks are displayed. The theoretical significance of assessment methods, the relevance of the topic I have chosen are also described, and a conclusion is made on the resulting theoretical results. In the course of studying the research topic and writing the article, it was concluded that it is important to select an individual risk assessment vector for each company, based on the activities that the organization is engaged in.
Financial risks, risk, risk management, organization, assessment methods, assessment of financial risks
Короткий адрес: https://sciup.org/170193662
IDR: 170193662