IMPROVING METHODS FOR FINANCIAL RISK MANAGEMENT AT AN ENTERPRISE.

Autor: Panchenko, Mariia O., Donetskova, Valeriia A.
Předmět:
Zdroj: Economics: Time Realities; 2021, Issue 4, p77-83, 7p
Abstrakt: The article examines in detail all the most important aspects of the enterprise financial risk and its minimization. It is noted that in the literature there is no single approach to this concept definition . However, almost all the enterprises face the need to minimize financial risks, the main ways to minimize them are identified by the authors. A new classification of financial risks according to the current economic problem associated with the pandemic is proposed. Insurance and diversification are considered in more detail as one of the most popular and promising ways to minimize risks abroad. [ABSTRACT FROM AUTHOR]
Databáze: Complementary Index