Model dezvoltat de analiză a riscului
Journal Title: Revista Romana de Statistica - Year 2012, Vol 60, Issue 6
Abstract
Prin Modelul dezvoltat de analiză a riscului se decide dacă măsurile de control sunt adecvate pentru implementare.Totodată,analiza determină dacă beneficiile unei opţiuni date de control costă mai mult decât implementarea.
Authors and Affiliations
Georgiana Cristina NUKINA
Building Cohesion Policy Requirements in the Context of Europe 2020 Strategy
Cohesion Policy is one of the most important policies in Europe, which aims to allocate funds for the Community aiming to obtain a harmonious development among regions,in order to reduce imbalances, gapsand vulnerabiliti...
Correlation between Direct Foreign Investments and Import – cantitative model of analyse
In this paper, the authors present a correlation analysis, on two indicators: the direct foreign investments and the import. We shall now make a analysis but, this time, we shall consider FDI as a result and imports will...
Risk Management Measures at the Level of an Economic Entity
There are strategies for continuous monitoring of the level of risk facing the entity. Their use causes a reduction in the firm ‘s vulnerability to environmental conditions , and a reduction in losses that might occur if...
The Stapled Anastomoses in Rectal Cancer Surgery – Modern Alternative for Bowel Reconstruction
Colorectal cancer represents one of the most frequently tumor pathologies, despite the efforts for early diagnosis and the therapeutic progress made in the last few years. In case of rectal cancer, the need for oncologic...
Cooperate Social Responsibility and Sustainable Development: A Case Study of Engro Fertilizer Dhahrki-Sindh-Pakistan
Coperative Social responsibility is of great significance for the sustainable development of the whole society as well as every enterprise. Data were collected from 200 stake holders and 500 local people from Dhahrki and...