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Finance: Theory and Practice

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ANAlYSIS AND RISK MANAGEMENT

 
Issue Title
 
Vol 30, No 1 (2026) A Model For Financing the Development of Information Management Systems Using Multi-criteria Data Analysis Abstract   PDF (Rus)   PDF (Eng)
I. V. Trundaev, V. B. Gisin, A. V. Timoshenko, V. A. Pankratov
 
Vol 26, No 4 (2022) Quantitative Market Risk Assessment for Insurance Companies Abstract   PDF (Rus)   PDF (Eng)
E. V. Aldukhova
 
Vol 26, No 4 (2022) Methods of Rating IT -Sector Companies by Level of Risks of Creditworthiness Abstract   PDF (Rus)   PDF (Eng)
E. I . Gabova, N. A. Kazakova
 
Vol 26, No 4 (2022) Direct Fuzzy Evaluation of Financial Risk “Chains” of an Organisation Abstract   PDF (Rus)   PDF (Eng)
L. V. Fomchenkova, P. S. Kharlamov, K. S. Melikhov
 
Vol 22, No 5 (2018) Modeling of Ensuring Information Security of a Credit and Financial Facility Abstract   PDF (Rus)
S.   I.   Koz’minykh
 
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