Evaluation of financial risks of a commercial organization
Автор: Surgaeva V.E.
Журнал: Экономика и бизнес: теория и практика @economyandbusiness
Статья в выпуске: 5-3 (63), 2020 года.
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In conditions of a high level of instability of environmental factors and crisis phenomena in the Russian economy, the issues of assessing and managing financial risks are of particular relevance. The results of the assessment of the level of financial risks, the establishment and systematization of risk-generating factors make it possible to justify the best methods for reducing the level of risk depending on the situation and type of risk, mitigate the effects of financial risks on the performance of organizations, and ensure the achievement of strategic goals for their development. The paper presents an assessment of financial risks by the example of a specific organization, identifies risk-generating factors, substantiates directions for reducing the level of financial risks.
Financial risk, risk of decreased solvency, risk of decreased financial stability, bankruptcy risk, risk assessment methods
Короткий адрес: https://sciup.org/170190066
IDR: 170190066 | DOI: 10.24411/2411-0450-2020-10511