Theoretical aspects of the regional finance potential stress-testing

Автор: Lyvova M.I.

Журнал: Вестник экономики, управления и права @vestnik-urep

Рубрика: Экономика

Статья в выпуске: 1 (14), 2011 года.

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Theoretical aspects of stress-testing as one of the risk-management instruments are considered in the article. Basic methods of stress-testing are analyzed, the necessity of using the method of scenario prognostication for estimation of financial potential volatility of the region under the circumstances of economic uncertainty is well founded.

Короткий адрес: https://sciup.org/14214417

IDR: 14214417

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