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Risk management
- Hedging in the oil market: multidimensional models with dynamic conditional correlations. «Finance and Credit», 47(623) - 2014 December
- Identification of economic risks as a prerequisite for effective management. «Economic Analysis: Theory and Practice», 32(383) - 2014 August
- Methodological approaches to the assessment of the financial result of a joint-stock company in conditions of uncertainty and risk. «Finance and Credit», 31(607) - 2014 August
- Formation and assessment of financial risk factors in activities of economic subjects. «Finance and Credit», 24(600) - 2014 June
- Risk management at the level of state higher educational institution. «Finance and Credit», 16(592) - 2014 April
- Remote Bank Service: The Internet creates new client and additional risks. «Finance and Credit», 7(583) - 2014 February
- Development of methodical approaches to risk management of financial institutions in the sphere of counteraction to laundering of the income and terrorism financing. «Finance and Credit», 6(582) - 2014 February
- Imitating model of quantitative measurement of risk of the industrial enterprises. «Finance and Credit», 2(578) - 2014 January
- Management of regional risks in implementing the financial policy in the innovative sphere. «Finance and Credit», 2(578) - 2014 January
- Organizational and financial risks of operating subjects in housing and communal services: contents and minimization ways. «Finance and Credit», 46(574) - 2013 December
- Principles of estimation of operating risk in banking sector. «Finance and Credit», 43(571) - 2013 November
- Controlling and risk management in small and medium-sized company. «Economic Analysis: Theory and Practice», 40(343) - 2013 October
- Organization of mapping process and management strategies for operational risk commercial banks. «Finance and Credit», 31(559) - 2013 August
- Technologies of situational centers in system of management and controlling of risks of liquidity of credit organization. «Finance and Credit», 17(545) - 2013 May
- On possibilities of reducing the risk of loan portfolio. «Finance and Credit», 16(544) - 2013 April
- Sustaining the interest rate policy by stress testing. «Finance and Credit», 15(543) - 2013 April
- Pre-active risk management processes of organizational-economic system: classification of risks for example of projects of public-private partnerships. «Finance and Credit», 13(541) - 2013 April
- Improvement of methods for risk analysis of Russian business. «Finance and Credit», 13(541) - 2013 April
- Characteristics of financial risks and their features in oil industry. «Finance and Credit», 9(537) - 2013 March
- Development of conceptual approaches to creation of effective system of treasury risk management. «Finance and Credit», 6(534) - 2013 February
- Pre-active risk management processes of organizational-economic system: identification and filtering. «Finance and Credit», 2(530) - 2013 January
- Exchequer risks in modern conditions: theory, methodology, practice. «Finance and Credit», 41(521) - 2012 November
- Risk management of financial leasing. «Finance and Credit», 39(519) - 2012 October
- Concept research "rating system of assessment of credit risk". «Finance and Credit», 37(517) - 2012 October
- Ways and methods of risk minimization in local payment systems. «Finance and Credit», 17(497) - 2012 May
- Working out of a technique of estimation of investment appeal of the company on an example of the electro-power sector. «Economic Analysis: Theory and Practice», 7(262) - 2012 February
- Forecasting model of economic risk indicators in agro-business. «Economic Analysis: Theory and Practice», 7(262) - 2012 February
- The question about economic essence of risks of the banking investment loans. «Finance and Credit», 33(465) - 2011 September
- Residual risks management. «Finance and Credit», 31(463) - 2011 August
- Bank’s risk-management with using of the project’s risk-profile. «Finance and Credit», 30(462) - 2011 August
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