Форма представления | Статьи в зарубежных журналах и сборниках |
Год публикации | 2018 |
Язык | английский |
|
Алякина Дарья Павловна, автор
Кайгородова Гульнара Наилевна, автор
Мустафина Альфия Анасовна, автор
Пыркова Гузель Харисовна, автор
|
Библиографическое описание на языке оригинала |
Pyrkova G.K, Kaigorodova G.N, Mustafina A.A, Financial risks: Methodological approaches and management methods//Journal of Social Sciences Research. - 2018. - Vol.2018, Is.Special Issue 5. - P.122-127. doi.org/10.32861/jssr.spi5.122.127 |
Аннотация |
In the process of economic activity of any organization, there is always a danger of losing money, which results from the peculiarities of various economic operations. These risks are financial. At the same time, there are a number of methodological difficulties that do not allow us to approach these risks with the utmost efficiency. In recent years, the number of risks arising from the activities of many companies has increased significantly. In this regard, there have appeared a lot of new financial instruments which are actively used by market participants. The use of these tools makes it possible to reduce the level of risks assumed, but at the same time may entail certain problems for the activities of participants in the financial market. Therefore, at present, companies are increasingly thinking about how risk can affect their economic activity and what methods are necessary to respond to problems. |
Ключевые слова |
Financial risk; Business risk; Risk management methods; Risk financing; Insurance |
Название журнала |
Journal of Social Sciences Research
|
URL |
https://www.scopus.com/inward/record.uri?eid=2-s2.0-85060440943&doi=10.32861%2fjssr.spi5.122.127&partnerID=40&md5=5fd7d39a5b4726616370df8c35d7686d |
Пожалуйста, используйте этот идентификатор, чтобы цитировать или ссылаться на эту карточку |
https://repository.kpfu.ru/?p_id=196559 |
Полная запись метаданных |
Поле DC |
Значение |
Язык |
dc.contributor.author |
Алякина Дарья Павловна |
ru_RU |
dc.contributor.author |
Кайгородова Гульнара Наилевна |
ru_RU |
dc.contributor.author |
Мустафина Альфия Анасовна |
ru_RU |
dc.contributor.author |
Пыркова Гузель Харисовна |
ru_RU |
dc.date.accessioned |
2018-01-01T00:00:00Z |
ru_RU |
dc.date.available |
2018-01-01T00:00:00Z |
ru_RU |
dc.date.issued |
2018 |
ru_RU |
dc.identifier.citation |
Pyrkova G.K, Kaigorodova G.N, Mustafina A.A, Financial risks: Methodological approaches and management methods//Journal of Social Sciences Research. - 2018. - Vol.2018, Is.Special Issue 5. - P.122-127. doi.org/10.32861/jssr.spi5.122.127 |
ru_RU |
dc.identifier.uri |
https://repository.kpfu.ru/?p_id=196559 |
ru_RU |
dc.description.abstract |
Journal of Social Sciences Research |
ru_RU |
dc.description.abstract |
In the process of economic activity of any organization, there is always a danger of losing money, which results from the peculiarities of various economic operations. These risks are financial. At the same time, there are a number of methodological difficulties that do not allow us to approach these risks with the utmost efficiency. In recent years, the number of risks arising from the activities of many companies has increased significantly. In this regard, there have appeared a lot of new financial instruments which are actively used by market participants. The use of these tools makes it possible to reduce the level of risks assumed, but at the same time may entail certain problems for the activities of participants in the financial market. Therefore, at present, companies are increasingly thinking about how risk can affect their economic activity and what methods are necessary to respond to problems. |
ru_RU |
dc.language.iso |
ru |
ru_RU |
dc.subject |
|
ru_RU |
dc.title |
Financial risks: Methodological approaches and management methods |
ru_RU |
dc.type |
Статьи в зарубежных журналах и сборниках |
ru_RU |
|