DETERMINATION OF FINANCIAL RISK SATISFACTION AND THE MAIN METHODS OF THEIR ASSESSMENT IN THE CONDITIONS OF INSTABLE MARKET ECONOMY

Abstract

In this article, the essence of the concept of «financial risks» was considered. Their main types and causes were identified, as well as an expanded classification of financial risks. The work is aimed at determining the main methods for assessing financial risks for the modern economy. That is why the most common methods of evaluation were considered. Among them were identified those that are the most optimal for business entities of our country and also analyzed their main advantages.

Authors and Affiliations

D. F. Dermenzh

Keywords

Related Articles

CONCEPTS OF EFFECTIVE USE OF FINANCIAL RESOURSES FOR TERRITORIAL COMMUNITIES

The article discusses the concepts of assessing the effectiveness of the use of financial resources of territorial communities. It has been established that the current concept provides for an assessment of such effectiv...

MECHANISM OF SOCIAL IMPORTANT SERVICES OF COMMUNICATION AND INFORMATIZATION

In the article problems which arise during granting of services of sphere of communication and information are proved. Negative consequences of regulation of some types of service are investigated. Necessity of formation...

FOREIGN AND DOMESTIC EXPERIENCE OF PERSONNEL MANAGEMENT AT THE ENTERPRISE

In the article foreign and home experience of management a personnel is considered on an enterprise, in particular experience of Japan, USA, France, Chile. The most expedient methods of management a personnel are certain...

ECONOMIC ASPECTS OF MECHANISM MANAGEMENT BY FINANCIAL POTENTIAL OF ENTERPRISE

The article is devoted to the essence of the mechanism of financial potential of the enterprise. The article analyzes the content of the concepts of “financial potential”, “management of financial potential” and “mechani...

ОБГРУНТУВАННЯ МУЛЬТИКОМПОНЕНТНОГО ХАРАКТЕРУ ДІЛОВОГО СЕРЕДОВИЩА РЕГІОНУ

У статті обґрунтований мультикомпонентний характер ділового середовища регіону. Вивчено підходи зарубіжних та вітчизняних науковців до підсистем, що складають ділове середовище. Запропонований авторський варіант структу...

Download PDF file
  • EP ID EP588958
  • DOI -
  • Views 113
  • Downloads 0

How To Cite

D. F. Dermenzh (2018). DETERMINATION OF FINANCIAL RISK SATISFACTION AND THE MAIN METHODS OF THEIR ASSESSMENT IN THE CONDITIONS OF INSTABLE MARKET ECONOMY. Причорноморські економічні студії, 25(), -. https://europub.co.uk/articles/-A-588958