The paper considers the theoretical and practical aspects of the analysis of financial risks in the context of the existing macroeconomic dynamics. The study describes the essence and main types of financial risks of business entities, which are actualized in a turbulent macroeconomic environment. The author proposes a methodological approach for conducting a strategic analysis of financial risks, which is based on their probabilistic assessment and quantitative substantiation of the impact force. Practical testing of the proposed methodology allows for a quantitative substantiation of the level of financial risks in the activities of an economic entity, which contributes to an increase in certainty in the mechanism of their management
The article describes a logical-probabilistic approach to the definition of crisis situations that t...
The relevance of this topic is due to the fact that at present in Germany there is an unpredictable ...
The subject of this master's thesis is analysis of Figarostav s.r.o. company, identification of risk...
This paper deals with the analysis of the problems of the formation of financial strategy, subject t...
The purpose of the paper is to generalize theoretical and methodological principles and develop prac...
This article is devoted to the study of improving the use of expert assessments for risk analysis, a...
This thesis is focused on analysis of business entity with selected strategic and economic methods. ...
Objectives The article is dedicated to the strategic risk management used at an enterprise. Is also ...
This thesis examines part of financial analysis focused on financial risks arising from the results ...
Proposed the technique of development of the system of actions to implementation of the effective de...
The article is aimed at studying the possibilities of managing entrepreneurial risks as one of the m...
The paper represents a topical subject in the economic-financial field and constitutes a particular ...
The article discusses quantitative methods of assessing systemic risk of the financial sector and th...
A world in constant motion, an economy in which the corresponding fluctuations of different indicato...
The subject of the study is theoretical and methodological approaches to financial risk management i...
The article describes a logical-probabilistic approach to the definition of crisis situations that t...
The relevance of this topic is due to the fact that at present in Germany there is an unpredictable ...
The subject of this master's thesis is analysis of Figarostav s.r.o. company, identification of risk...
This paper deals with the analysis of the problems of the formation of financial strategy, subject t...
The purpose of the paper is to generalize theoretical and methodological principles and develop prac...
This article is devoted to the study of improving the use of expert assessments for risk analysis, a...
This thesis is focused on analysis of business entity with selected strategic and economic methods. ...
Objectives The article is dedicated to the strategic risk management used at an enterprise. Is also ...
This thesis examines part of financial analysis focused on financial risks arising from the results ...
Proposed the technique of development of the system of actions to implementation of the effective de...
The article is aimed at studying the possibilities of managing entrepreneurial risks as one of the m...
The paper represents a topical subject in the economic-financial field and constitutes a particular ...
The article discusses quantitative methods of assessing systemic risk of the financial sector and th...
A world in constant motion, an economy in which the corresponding fluctuations of different indicato...
The subject of the study is theoretical and methodological approaches to financial risk management i...
The article describes a logical-probabilistic approach to the definition of crisis situations that t...
The relevance of this topic is due to the fact that at present in Germany there is an unpredictable ...
The subject of this master's thesis is analysis of Figarostav s.r.o. company, identification of risk...