FINANCIAL RISK MANAGEMENT AT THE ENTERPRISE: METHODS AND MODELS
Hamdamov Omonulla Ne’matillaevich
No 2016-03-17, Working papers from Voice of Research
Abstract:
In this article you will learn what methods of financial risk management exist in the practice of management, how to build a system of risk management and carry out a phased analysis of effectiveness of introduction of the control system. The article includes the following main parts:financial risk management system, objectives of risk management at the enterprise, classification of risk in risk management system, methods of financial risk management, models of assessment of financial risk of company, stages of creation of the own risk management system, example of mechanisms of accounting and control in the risk management system, influence of risk management system to investment attractiveness. Key words: financial risk, management, methods, models, economic value added
Date: 2016-03
New Economics Papers: this item is included in nep-rmg
References: View references in EconPapers View complete reference list from CitEc
Citations:
Downloads: (external link)
http://voiceofresearch.org/Doc/Mar-2016/Mar-2016_17.pdf Full text (application/pdf)
Related works:
This item may be available elsewhere in EconPapers: Search for items with the same title.
Export reference: BibTeX
RIS (EndNote, ProCite, RefMan)
HTML/Text
Persistent link: https://EconPapers.repec.org/RePEc:vor:issues:2016-03-17
Access Statistics for this paper
More papers in Working papers from Voice of Research The Editor, Voice of Research E/1, Samay Appartments, Behind NID, Paldi. Ahmedabad. 380007.
Bibliographic data for series maintained by Dr. Avdhesh Jha ( this e-mail address is bad, please contact ).