The building of the model of management of financial risks of the investment infrastructure project using the method of real options

Автор: Dugushkina A.N.

Журнал: Экономика и социум @ekonomika-socium

Статья в выпуске: 2 (45), 2018 года.

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The implementation of the investment project is associated with the emergence of various financial risks that need to be identified, assessed, monitored and leveled in time for the successful and effective implementation of the investment project. The author in this article has built a model for managing financial risks of an investment infrastructure project using the method of real options as the most appropriate and high-quality tool in the fight against financial risks.

Investment project, financial risks, risk management model, real options method

Короткий адрес: https://sciup.org/140236125

IDR: 140236125

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