+7 925 966 4690, 9am6pm (GMT+3), Monday – Friday
ИД «Финансы и кредит»

JOURNALS

  

FOR AUTHORS

  

SUBSCRIBE

    
Financial Analytics: Science and Experience
 

Model of management of financial stability of the insurance organizations on the basis of the system-factorial approach

Vol. 3, Iss. 9, AUGUST 2010

Available online: 9 August 2010

Subject Heading: BUSINESS ESTIMATION

JEL Classification: 

Igonina L.L. Doctor of Economics, the professor, managing faculty of the finance, Institute of economy of the right and humanitarian specialities (Krasnodar)
igoninall@mail.ru

Bаzyк Е.F. Senior teacher of the pulpit finance and statistics, Krasnodar cooperative Institute (branch) of ANO VPO CС the Russian Federation The Russian university of cooperation
b.e.f.64@mail.ru

In the article the model of management by financial stability of the insurance organization on the basis of the system-factorial approach which assumes interrelation of target reference points, factors and indicators of financial stability is presented.

Keywords: financial, stability, the insurance, organization, management, the purposes, profitableness, risk, liquidity, key factors, critical field, monitoring, deviations

View all articles of issue

 

ISSN 2311-8768 (Online)
ISSN 2073-4484 (Print)

Journal current issue

Vol. 17, Iss. 1
March 2024

Archive