THEORETICAL AND METHODOLOGICAL BASES OF THE MODELING OF EVALUATION OF EFFICIENCY OF FINANCIAL SECURITY MANAGEMENT OF JOINT-STOCK COMPANIES
Journal Title: Вісник Одеського національного університету. Економіка. - Year 2018, Vol 23, Issue 2
Abstract
The article defines the main objective of financial security management of joint-stock companies, taking into account opportunities for increasing their market value. In order to evaluate the effectiveness of financial security management of joint stock companies, it is proposed to use financial factors that affect financial security in the form of absolute financial results and systematize its threats and dominant. It is proved that correlation-regression analysis is the most effective tool for controlling the efficiency of financial security management of joint-stock companies. It is proved that using of the developed estimation approaches will allow to predict the influence of each factor on the indicators of the state of financial security.
Authors and Affiliations
O. V. Stashchuk
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