Features of managing financial risks in domestic and foreign practices
Автор: Gutyuk O.A., Gryzunova E.D.
Журнал: Экономика и бизнес: теория и практика @economyandbusiness
Статья в выпуске: 10-1 (44), 2018 года.
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In the context of a systemic transformation of the economy, a tense risk environment in which Russian enterprises operate and develop, it is urgent to create a complete methodological basis for risk management in individual enterprises, based on the experience of large companies in this field, as well as taking into account the specifics of organizations in various sectors of the economy. The article discusses the features of risk management of leading American companies and a comparative analysis of risk management practices in Russian companies.
Risk management, financial risk, risk management practice, risk coordination methods, financial risk management
Короткий адрес: https://sciup.org/170180650
IDR: 170180650 | DOI: 10.24411/2411-0450-2018-10061