Investment activities in the financial market of the Russian Federation

Автор: Zayarnaya I.A., Kadyrova L.N.

Журнал: Вестник Алтайской академии экономики и права @vestnik-aael

Рубрика: Экономические науки

Статья в выпуске: 7-2, 2021 года.

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Both Russian and foreign practice has accumulated many ways to minimize and protect against risks. For example, the main focus of a risk manager should be on adherence to risk parameters when developing and making a decision, as well as in the process of its implementation and, of course, prompt response. Most foreign authors believe that the successful implementation of these functions largely depends on the marketing approach in management and the effective organization of the information and communication system. Currently, the processes of diversification have also become widespread throughout the world: the development of industries that are located in different levels and regions of the country, investments in various activities, the creation of parallel structures for the production of product modifications or solving complex problems. The distribution of risk between partners and a decrease in its level for partners is formed by mutual ownership of shares and various specifics and areas of activity in the context of associations, corporations, financial and industrial groups. Western practice speaks of the active development of quantitative risk management at the national and international levels. An example is national standards.

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Risk management, financial risks, standards

Короткий адрес: https://sciup.org/142230334

IDR: 142230334   |   DOI: 10.17513/vaael.1794

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