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

JOURNALS

  

FOR AUTHORS

  

SUBSCRIBE

    
Finance and Credit
 

Financial model of Russian diversified holdings

Vol. 16, Iss. 28, JULY 2010

Available online: 16 July 2010

Subject Heading: Financial management

JEL Classification: 

Voronina L.A. Doctor of Economic Sciences, Professor of the World Economy Department, Kuban State University
lab@vectorplus.ru

Popov N.N. Private-Invest JSC, financial department chief-manager
nocnoc@mail.ru

In this paper the issues of forming financial model Russian diversified holding companies in the post-crisis period are studied. A scheme for the establishment and operation of holdings in an unstable external market environment is proposed. The proposed classification allows creating a scientific approach to the effective implementation of the functions of financial management to various types of holdings and determining their intrinsic characteristics in economic relations between the different actors of the market. Financial model holding management includes not only effective internal mechanisms for financial management, but also the interaction with insurance companies, investment and tax institutions and banks.

Keywords: holding, the financial model, diversification, management, financial flows, the classification

View all articles of issue

 

ISSN 2311-8709 (Online)
ISSN 2071-4688 (Print)

Journal current issue

Vol. 30, Iss. 4
April 2024

Archive