Показване на основна информация на публикация

dc.contributor.authorGorbunov, Vladimir
dc.contributor.authorDenisov, Dmitry
dc.date.accessioned2018-07-06T23:25:06Z
dc.date.accessioned2018-07-06T23:25:09Z
dc.date.available2018-07-06T23:25:06Z
dc.date.available2018-07-06T23:25:09Z
dc.date.issued2018
dc.identifier.issn0861-6604
dc.identifier.urihttp://hdl.handle.net/10610/3898
dc.description.abstractThe paper reviews methods for risk assessment which could be employed in the financial management of enterprises. The set of methods proposed renders it possible to assess the impact which different risk factors upon the efficiency of implemented projects and the effect of antirisk measures on the financial performance of companies and thus identify the most efficient measures according to the criterion selected for project evaluation.us_US
dc.publisherTsenov Publishing HouseEN_en
dc.relation.ispartofseries2;1
dc.subjectfinancial riskus_US
dc.subjectrisk assessment methodsus_US
dc.subjectrisk optimizationus_US
dc.subjectbusiness processus_US
dc.subjectbusinesus_US
dc.titlePROBABILITY METHODS FOR ASSESSING FINANCIAL RISKS FOR ENTERPRISESus_US
dc.typeArticleus_US


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