|
|
|
FINANCIAL STABILITY AND SOLVENCY
- Debt security of the Russian economy in the context of sanctions. «Economic Analysis: Theory and Practice», 5(548) - 2024 May
- Theoretical and methodological foundations of financial support for the development strategies of territorial communities. «Economic Analysis: Theory and Practice», 12(543) - 2023 December
- The debt component as a factor in assessing the financial security of the economy: The cross-country aspect. «Economic Analysis: Theory and Practice», 10(541) - 2023 October
- Assessment of a company by a credit insurer to establish a credit limit. «Economic Analysis: Theory and Practice», 8(527) - 2022 August
- Development of methodological support to assess the financial potential of a commercial organization. «Economic Analysis: Theory and Practice», 12(507) - 2020 December
- Modern features and tools to analyze the insolvency (bankruptcy) of organizations. «Economic Analysis: Theory and Practice», 12(507) - 2020 December
- Analyzing the impact of payments infrastructure on the efficiency of the national payment system functioning. «Economic Analysis: Theory and Practice», 11(506) - 2020 November
- Five-year experience in quality control over cash flow statements in Russian companies. «Economic Analysis: Theory and Practice», 10(505) - 2020 October
- Managing the capital structure of the largest Russian coal producers. «Economic Analysis: Theory and Practice», 2(485) - 2019 February
- Identification of financial violations of Russian organizations: Special aspects and applicability of foreign models. «Economic Analysis: Theory and Practice», 2(485) - 2019 February
- Non-earmarked intergovernmental equalization transfers: Complete equalization or proportional reduction of gaps? Theory and evidence from the budgetary system of the Komi Republic. «Economic Analysis: Theory and Practice», 8(479) - 2018 August
- Building an integrated index to assess the likelihood of overstated financial results in financial statements. «Economic Analysis: Theory and Practice», 6(477) - 2018 June
- Analysis of current assets of the enterprise: Organizational and methodological framework and practical application. «Economic Analysis: Theory and Practice», 3(474) - 2018 March
- Forecasting the commercial bank default based on a probabilistic model. «Economic Analysis: Theory and Practice», 12(471) - 2017 December
- Problems of forecasting the bankruptcy of agricultural commodity producers: Russian legislation effectiveness assessment. «Economic Analysis: Theory and Practice», 12(471) - 2017 December
- Enhancing the analytical potential of cash flow-based solvency ratio analysis. «Economic Analysis: Theory and Practice», 11(470) - 2017 November
- Analyzing the financial stability of commercial banks based on relationships between profits and risks. «Economic Analysis: Theory and Practice», 11(470) - 2017 November
- The going concern concept in the assessment of creditworthiness of economic entities. «Economic Analysis: Theory and Practice», 10(469) - 2017 October
- Financial resources of Russian enterprises as an object of risk-management in turbulent financial markets. «Economic Analysis: Theory and Practice», 6(465) - 2017 June
- Property complexes of manufacturing enterprises: methods to analyze and ways to improve. «Economic Analysis: Theory and Practice», 4(463) - 2017 April
- Evaluating the quality of cash flow statement of Russian companies. «Economic Analysis: Theory and Practice», 4(463) - 2017 April
- Three-dimensional financial security model as a tool for financial strategy formation in the context of value-based management. «Economic Analysis: Theory and Practice», 3(462) - 2017 March
- The impact of the development of methods for financial stability analysis on the transformation of methods for stock market fundamental analysis. «Economic Analysis: Theory and Practice», 2(461) - 2017 February
- Assessing the probability of financial bankruptcy of organizations. «Economic Analysis: Theory and Practice», 10(457) - 2016 October
- Developing the methods to assess a financial condition of State-financed and autonomous institutions considering the specifics of their financial operations. «Economic Analysis: Theory and Practice», 10(457) - 2016 October
- Strategic financial stability and financial analysis procedure. «Economic Analysis: Theory and Practice», 8(455) - 2016 August
- Identifying the critical areas in the public finance of territorial entities of different levels from the perspective of the national security of the Russian Federation. «Economic Analysis: Theory and Practice», 7(454) - 2016 July
- The financial status of diamond-cutting and jewelry enterprises of the region. «Economic Analysis: Theory and Practice», 34(433) - 2015 September
- The specificity of financial policies during the crisis. «Economic Analysis: Theory and Practice», 15(414) - 2015 April
|
|
|
|
|
|