Методика оценки и классификации уровней волатильности для целей управления финансовыми рисками
Управление финансовыми рисками2022, №4
Methodological Approach to Assessing the Impact of External Factors on Financial Risks of Retailers Considering Regional Aspects
Economy of Regions
journal-article | 2024
DOI: 10.17059/ekon.reg.2024-3-23
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Concept of Taking Risk-Tolerant Financial Decisions Under Elevated Uncertainty
book-chapter | 2023
DOI: 10.1007/978-3-031-30498-9_22
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Concept of Taking Risk-Tolerant Financial Decisions Under Elevated Uncertainty
Springer Proceedings in Business and Economics
conference-paper | 2023
DOI: 10.1007/978-3-031-30498-9_22
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Forecasting of financial risks of decline in profit and profitability of companies in the retail industry on the basis of correlation and regression analysis of macroeconomic factors
Economics and Management
journal-article | 2023
DOI: 10.35854/1998-1627-2023-6-690-708
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