Efficient risk assessment and management strategies for economic stability
DOI:
https://doi.org/10.20397/2177-6652/2023.v23i0.2660Palabras clave:
financial risk, risk management, model, financial activityResumen
The purpose of the study is to identify the main patterns that define the features of risk assessment in business as a key element contributing to the achievement of an organization's economic security. The authors consider various types of economic risks, risk analysis and assessment methods, and risk neutralization strategies. The findings emphasize the importance of developing a comprehensive risk assessment methodology that accounts for the risks Russian enterprises face. The authors find that the most efficient ways to reduce risk in an unstable economic and political situation in Russia are the scenario method, the method of hierarchy analysis, and diversification, i.e., the distribution of risks between several business participants.
Citas
Aminov, Kh.I. (2019). Kompiuternye tekhnologii bankovskoi deiatelnosti [Computer technologies of banking]. St. Petersburg: Publishing house of St. Petersburg State University of Economics.
Bstudy.net. (2021). Upravlenie finansovymi riskami v usloviiakh tsifrovizatsii [Financial risk management in the context of digitalization]. Retrieved from https://bstudy.net/779824/ekonomika/upravlenie_finansovymi_riskami_usloviyah_tsifrovizatsii
Domashchenko, D.V., Finogenova, Iu.Iu. (2010). Upravlenie riskami v usloviiakh finansovoi nestabilnosti [Risk management in the conditions of financial instability]. Moscow: Magistr, INFRA-M, 238 p.
Dosugova, A.V. (2011). Kontrolling riskov v sisteme risk-menedzhmenta organizatsii [Risk controlling in the company risk management system]. Controlling, 3(40), 60-63.
Foss, N.J. (2007). Scientific progress in strategic management: The case of the resource-based view. International Journal of Learning and Intellectual Capital, 4(1/2), 29-46.
Gubanov, R.S. (2014). Strakhovanie finansovykh riskov kak metod risk-menedzhmenta [Financial risk insurance as a method of risk management]. Financial Analytics: Science and Experience, 8, 31-35.
Khokhlov, N.V. (2003). Upravlenie riskom: Uchebn. posobie dlia vuzov [Risk management: Textbook for universities]. Moscow: UNITY-DANA, 239 p.
Khominich, I.P. (Ed.). (2023). Upravlenie finansovymi riskami: Uchebnik i praktikum dlia vuzov [Financial risk management: Textbook and practical guide for universities] (2nd ed., revised and supplemented). Moscow: Iurait.
Kiseleva, I.A. (2002). Modelirovanie otsenki riskov v protsesse priniatiia bankovskikh reshenii [Modeling risk assessment in the process of making banking decisions]. Audit and Financial Analysis, 1, 118-124.
Kosov, M.E., Akhmadeev, R.G., Bykanova, O.A., Osipov, V.S., Ekimova, K.V., Frumina, S.V. (2016). Economic practicability substantiation of financial instrument choice. Journal of Applied Economic Sciences, 11(8). 1613-1623.
Krioni, O.V., Artemev, P.V. (2018). Teoreticheskie aspekty upravleniia finansovymi riskami [Theoretical aspects of financial risk management]. Nauka sredi nas, 1(5), 310-314.
Lobanov, A.A., Chugunov, A.V. (Eds.). (2014). Entsiklopediia finansovogo risk-menedzhmenta [Encyclopedia of financial risk management] (2nd ed., revised and supplemented). Moscow: Alpina Business Books, 920 p.
Morrow, J.L., Sirmon, D.G., Hitt, M.A., Holcomb, T.R. (2007). Creating value in the face of declining performance: Firm strategies and organizational recovery. Strategic Management Journal, 8(3), 271-283. http://dx.doi.org/10.1002/smj.579
Nesterenko, E.A. (Ed.). (2018). Upravlenie finansovymi riskami v tsifrovoi ekonomike: Kollektivnaia monografiia [Financial risk management in the digital economy: A collective monograph]. Saratov: Saratov Socio-Economic Institute, 212 p.
Novoselov, A.A. (1988). Modelirovanie finansovykh riskov [Financial risk modeling]. Retrieved from https://ihtika.ru/book/novoselov-aa-modelirovanie-finansovyh-riskov-1988-lekcii
Pomorina, M.A. (2014). Osnovnye elementy bankovskogo planirovaniia: Strategiia, biznes-planirovanie, finansovoe planirovanie [Key elements of bank planning: Strategy, business planning, financial planning]. Bankovskoe delo, 7-8, 28-34.
Prokopovich, D.A., Saviak, N.N., Siberian Federal University, Institute of Economics, Management and Nature Management. (2022). Modelirovanie finansovykh riskov: Uchebnoe posobie [Modeling financial risks: Training manual]. Krasnoyarsk: SFU, 116 p.
Redhead, K., Hughes, S. (2005). Upravlenie finansovymi riskami [Financial risk management]. Transl. from English. Moscow: INFRA-M.
Shapkin, A.S., Shapkin, V.A. (2013). Ekonomicheskie i finansovye riski. Otsenka, upravlenie, portfel investitsii [Economic and financial risks. Assessment, management, investment portfolio] (9th ed.). Moscow: Dashkov & K Publishing and Trading Company, 544 p.
Tarakanova, E.A., Mukhina, E.A. (2018). Vliianie finansovoi ustoichivosti na ekonomicheskuiu bezopasnost organizatsii [Influence of financial stability on the economic security of organizations]. In Yu.V. Vertakova, A.A. Gorokhov (Eds.), Aktual'nyye voprosy razvitiya sovremennogo obshchestva. Sbornik nauchnykh statey 8-oy Mezhdunarodnoy nauchno-prakticheskoy konferentsii [Actual issues of development of modern society: Collection of scientific articles of the 8th International scientific and practical conference] (pp. 169-172). Kursk: Zakrytoye aktsionernoye obshchestvo "Universitetskaya kniga".
Descargas
Publicado
Cómo citar
Número
Sección
Licencia
Derechos de autor 2023 Journal of Management & Technology
Esta obra está bajo una licencia internacional Creative Commons Atribución-NoComercial 4.0.
Os direitos, inclusive os de tradução, são reservados. É permitido citar parte de artigos sem autorização prévia desde que seja identificada a fonte. A reprodução total de artigos é proibida. Em caso de dúvidas, consulte o Editor.