Efficient risk assessment and management strategies for economic stability

Autores/as

  • Irina Kiseleva Plekhanov Russian University of Economics
  • Aziza Tramova Plekhanov Russian University of Economics
  • Natalia Gryzunova Plekhanov Russian University of Economics
  • Olga Romanchenko Plekhanov Russian University of Economics
  • Bayasgalan Tsetsgee Mongolian University of Science & Technology

DOI:

https://doi.org/10.20397/2177-6652/2023.v23i0.2660

Palabras clave:

financial risk, risk management, model, financial activity

Resumen

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

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Publicado

2023-08-29

Cómo citar

Kiseleva, I., Tramova, A., Gryzunova, N., Romanchenko, O., & Tsetsgee, B. (2023). Efficient risk assessment and management strategies for economic stability. Revista Gestão & Tecnologia, 23, 218–232. https://doi.org/10.20397/2177-6652/2023.v23i0.2660

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