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Risk management
- Perfection of methods of an estimation and limitation of credit risk in the Russian bank sector. «Finance and Credit», 30(462) - 2011 August
- Control system of risks of the credit organization. «Finance and Credit», 25(457) - 2011 July
- Credit scoring in system of the bank risk management. «Finance and Credit», 23(455) - 2011 June
- On the theory, principles and classification of monitoring of banking risks. «Finance and Credit», 23(455) - 2011 June
- Market risks of commercial banks: estimation and analysis methods. «Finance and Credit», 21(453) - 2011 June
- Comparative analysis of major trends in risk management at the national and foreign industrial enterprises (for example chemical industry joint-stock company «SIBUR Holding» and BASF). «Economic Analysis: Theory and Practice», 21(228) - 2011 June
- Power market liberalization and risks of losses in commercial output cost for ojsc «Rosenergoatom concern». «Economic Analysis: Theory and Practice», 18(225) - 2011 May
- Pre-investment risk analysis of project based accounting company. «Economic Analysis: Theory and Practice», 18(225) - 2011 May
- Methodical approaches to risk analysis of the innovatory projects. «Finance and Credit», 15(447) - 2011 April
- Organizational principles of current bank risks management system. «Finance and Credit», 14(446) - 2011 April
- The essence of risk-management system, key components and steps of development. «Finance and Credit», 14(446) - 2011 April
- Personnel risk management at the credit institution. «Finance and Credit», 12(444) - 2011 March
- Problems of the organization of system of the risk management of investment activity of industrial holdings. «Finance and Credit», 12(444) - 2011 March
- On the theory, principles and classification of monitoring of banking risks. «Finance and Credit», 11(443) - 2011 March
- Development of capital estimation models for operational risk: problems and prospects. «Finance and Credit», 11(443) - 2011 March
- Improving credit risk management in lending to the cost of production modernization. «Finance and Credit», 10(442) - 2011 March
- Risk-management in innovative activity of enterprises. «Finance and Credit», 10(442) - 2011 March
- Risk analysis of retail banking in the commercial bank. «Finance and Credit», 7(439) - 2011 February
- Financial Methods of Risk Decrease in the Process of Science-intensive and High-tech Products Making. «Finance and Credit», 7(439) - 2011 February
- Debt instruments risks as objects for region administration regulation during the realization of public-private partnership projects. «Finance and Credit», 4(436) - 2011 January
- Methodological bases of management of tax risks in conditions of a global economic crisis and a tax safety. «Economic Analysis: Theory and Practice», 3(210) - 2011 January
- Assessment of internal risks of organization in the process of strategic management. «Economic Analysis: Theory and Practice», 3(210) - 2011 January
- Evaluations of investment efficiency of the absolute risk aversion function in comparison with the most popular indicators of market sentiments.. «Economic Analysis: Theory and Practice», 34(199) - 2010 October
- Technique of the costs estimate and indicators of risk in the conditions of the choice of the effective variant of productive activity of the enterprise. «Economic Analysis: Theory and Practice», 34(199) - 2010 October
- Specificity of bank credit risk of investment projects. «Finance and Credit», 29(413) - 2010 August
- Dynamic risk premium model building of innovative companies. «Finance and Credit», 18(402) - 2010 May
- Methodological approaches to the organization of stress-testing procedures in commercial banks based on international experience, including the principles of the Basel agreement. «Finance and Credit», 17(401) - 2010 May
- Stress-testing of market risks by financial organization in the conditions of crisis. «Finance and Credit», 17(401) - 2010 May
- Creditworthiness and credit risk in bank risk-management. «Finance and Credit», 17(401) - 2010 May
- To determine taxpayer’s tax risk category. «Finance and Credit», 15(399) - 2010 April
Articles
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