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RISK, ANALYSIS AND EVALUATION
- A comparative analysis of the structure and principles of sovereign wealth fund management. «Digest Finance», 1(237) - 2016 January-March
- On the issue of forecasting the solvency of small and medium-sized businesses and probability of their bankruptcy. «Financial Analytics: Science and Experience», 8(290) - 2016 February
- Assessment of the borrower’s default. «Financial Analytics: Science and Experience», 3(285) - 2016 January
- Risks of the import substitution strategy in the Russian agricultural industrial complex. «Financial Analytics: Science and Experience», 3(285) - 2016 January
- Cyclical patterns in modeling financial risks of priority development areas. «Financial Analytics: Science and Experience», 48(282) - 2015 December
- Theoretical and practical approaches to risk assessment for research and production enterprises in the nuclear industry. «Financial Analytics: Science and Experience», 45(279) - 2015 December
- Risks of long-term forecasts in the economy of the Russian Federation. «Financial Analytics: Science and Experience», 44(278) - 2015 November
- Evaluation imposing sanctions: world experience. «Financial Analytics: Science and Experience», 42(276) - 2015 November
- Risks of the banking sector: diagnostics and prevention. «Financial Analytics: Science and Experience», 40(274) - 2015 October
- Results of liquidity risk monitoring in operations of the Russian banking sector. «Financial Analytics: Science and Experience», 40(274) - 2015 October
- Basic parameters of the dividend policy. «Financial Analytics: Science and Experience», 39(273) - 2015 October
- Influence of cluster structures on the efficiency of human capital use. «Financial Analytics: Science and Experience», 37(271) - 2015 October
- Comparison of quantitative methods for evaluating the bank performance. «Financial Analytics: Science and Experience», 35(269) - 2015 September
- Trends in regulating the global systemically important financial institutions. «Financial Analytics: Science and Experience», 35(269) - 2015 September
- On improving the approaches to credit risk management in Russian commercial banks. «Financial Analytics: Science and Experience», 34(268) - 2015 September
- Analyzing financial risks within fundamental analysis of the company. «Financial Analytics: Science and Experience», 34(268) - 2015 September
- On methods of validation of rating systems under the Internal Ratings-Based approach to credit risk assessment of banks. «Financial Analytics: Science and Experience», 32(266) - 2015 August
- Risks in a system of personal finance. «Financial Analytics: Science and Experience», 32(266) - 2015 August
- Considering project risks in non-stationary conditions. «Financial Analytics: Science and Experience», 32(266) - 2015 August
- Fiscal risks and stability of the financial system: the experience of the European Union. «Financial Analytics: Science and Experience», 30(264) - 2015 August
- Modern aspects of managing risks of innovation projects. «Financial Analytics: Science and Experience», 28(262) - 2015 July
- Industry-specific features and areas of mitigating financial risks of agricultural enterprises. «Financial Analytics: Science and Experience», 26(260) - 2015 July
- Analyzing the application of marketing tools at the current stage of the banking market development: foreign experience and Russian practice. «Financial Analytics: Science and Experience», 26(260) - 2015 July
- An empirical analysis of dependence of the dividend policy on the company's life cycle stage. «Financial Analytics: Science and Experience», 23(257) - 2015 June
- A new approach to assessment of risk associated with shares: a methodology and practical use. «Financial Analytics: Science and Experience», 22(256) - 2015 June
- Formulating the relevant cost concept as a modification of fair value and the methods for its formation. «Financial Analytics: Science and Experience», 18(252) - 2015 May
- Financial analysis of insolvent companies: the role of financial and tax reporting. «Financial Analytics: Science and Experience», 18(252) - 2015 May
- Evaluating how innovative development sustainability depends on the economic condition of industrial enterprises using a correlation analysis. «Financial Analytics: Science and Experience», 18(252) - 2015 May
- Methods of forming an optimal leasing portfolio and its monitoring amid economic instability. «Financial Analytics: Science and Experience», 15(249) - 2015 April
- Management of small business value. «Financial Analytics: Science and Experience», 15(249) - 2015 April
Articles
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