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Finance and Credit
 

Risk management of financial leasing

Vol. 18, Iss. 39, OCTOBER 2012

Available online: 25 October 2012

Subject Heading: Risk management

JEL Classification: 

Korobeynikov D.А. PhD in Economics, Associate Professor of department «Economical Analyze and Finances», the Volgograd State Agricultural University
korobeinikov77@yandex.ru

Shaldohina S.U. PhD in Economics, Associate Professor of department «Economical Analyze and Finances», the Volgograd State Agricultural University
shaldohina@mail.ru

In the article the multilevel classification of risks in financial leasing is offered and on the basis of the put-forward idea about dynamism of brave situations the model of distribution of responsibility for risk between the lesser, lessee, the supplier and other participants of the transaction is proved. It is noted that the systematized ways and methods of control over risks unite the perspective applied directions of development of a risk management in financial leasing.

Keywords: financial leasing, classification of risks, distribution of risks, risk management

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

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