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RISK, ANALYSIS AND EVALUATION
- Priority National Project – Healthcare: Financing, challenges, trends. «Digest Finance», 1(269) - 2024 January-March
- The main approaches to valuation of the equity capital of oil and gas companies. «Digest Finance», 1(269) - 2024 January-March
- Higher education in Russia: Facts and figures. «Digest Finance», 4(268) - 2023 October-December
- The concept of development of non-financial reporting by Belarusian business entities using graph theory. «Digest Finance», 4(268) - 2023 October-December
- Multipliers based on EBITDA and DACF as an indicator of the investment attractiveness of domestic vertically integrated oil and gas companies. «Digest Finance», 4(268) - 2023 October-December
- Special aspects of analyzing and assessing the financial stability of non-profit organizations: The case of the Chamber of Commerce and Industry of the Altai Krai. «Financial Analytics: Science and Experience», 4(366) - 2023 October-December
- The foreign practice of large merger & acquisitions transactions in the stock market sector of the oil and gas industry. «Digest Finance», 3(267) - 2023 July-September
- Principal risks inherent in building the resource base of project finance in bank risk management. «Digest Finance», 2(266) - 2023 April-June
- Multipliers based on net income as an indicator of the investment attractiveness of domestic vertically integrated oil and gas companies. «Digest Finance», 2(266) - 2023 April-June
- Other information in the audit: Verification issues. «Financial Analytics: Science and Experience», 2(364) - 2023 April-June
- A risk-oriented model to assess the probability of bankruptcy of strategic alliance member companies. «Digest Finance», 1(265) - 2023 January-March
- Financial stability ratios of the world's leading publicly traded oil and gas corporations as an indicator of the investment attractiveness of domestic vertically integrated oil and gas companies. «Digest Finance», 1(265) - 2023 January-March
- Working capital structure optimization to minimize the liquidity risk. «Digest Finance», 4(264) - 2022 October-December
- Multipliers Based on Assets and Equity as an Indicator of the Investment Attractiveness of Domestic Vertically Integrated Oil and Gas Companies. «Digest Finance», 4(264) - 2022 October-December
- Revenue-Based Multipliers as an Indicator of the Investment Attractiveness of Domestic Vertically Integrated Oil and Gas Companies. «Digest Finance», 2(262) - 2022 April-June
- Defining project performance standards as parameters of the compliance risk regulatory system. «Financial Analytics: Science and Experience», 1(359) - 2022 January-March
- Formation of information base of financial risk controlling in agricultural organizations using the model of integrated financial risk assessment. «Financial Analytics: Science and Experience», 1(359) - 2022 January-March
- Market valuation of the world's leading public oil and gas corporations as an indicator of investment attractiveness of domestic vertically integrated companies. «Digest Finance», 4(260) - 2021 October-December
- Applying the econometric tools to analyze a cost management process. «Digest Finance», 4(260) - 2021 October-December
- Criteria of Recognition of Transactions as Sham and Feigned: Accounting, Auditing, and Legal Approaches. «Digest Finance», 3(259) - 2021 July-September
- Reframing the Risk Management Process of Entities. «Digest Finance», 3(259) - 2021 July-September
- Analyzing the Impact of Corporate Governance Factors on Enterprise Value and Capitalization. «Digest Finance», 3(259) - 2021 July-September
- Multipliers Based on Oil And Gas Production and Reserves as National Vertically Integrated Oil Companies’ Indicator of Lucrativeness for Investors. Part II. «Digest Finance», 3(259) - 2021 July-September
- Analysis of interrelation between the financial status and the level of corporate transparency of annual financial statements of Russian companies. «Digest Finance», 2(258) - 2021 April-June
- Multipliers based on oil and gas production and reserves as national vertically integrated oil companies’ indicator of lucrativeness for investors. «Digest Finance», 2(258) - 2021 April-June
- An action plan to protect and strengthen corporate governance practices in Russian corporations. «Digest Finance», 1(257) - 2021 January-March
- Event study methodology in M&A research. «Digest Finance», 1(257) - 2021 January-March
- Quantitative parameters of anti-money laundering regulation. «Financial Analytics: Science and Experience», 1(355) - 2021 January-March
- Quantitative parameters of anti-money laundering regulation. «Digest Finance», 4(256) - 2020 October-December
- The use of revenue-based multipliers for the appraisal of oil and gas companies. «Digest Finance», 4(256) - 2020 October-December
- Setting up a methodology for evaluating, analyzing and predicting the sustainable development of economic agents amid Grand Challenges. «Digest Finance», 4(256) - 2020 October-December
- Forecasting trends in the cryptocurrency exchange rate through the machine learning theory. «Financial Analytics: Science and Experience», 1(351) - 2020 January-March
- Evaluating the Applicability of Modified Beta Coefficient in the Russian Stock Market. «Digest Finance», 4(252) - 2019 October-December
- The Financial Status of Agricultural Enterprises: Problems, Trends, Perspectives: A Regional Aspect. «Digest Finance», 4(252) - 2019 October-December
- Contemporary Issues of Valuation: Errors and Abuses. «Digest Finance», 4(252) - 2019 October-December
- The Study into Factors Reducing Investment Project Financing Risks. «Digest Finance», 4(252) - 2019 October-December
- Economic criteria to determine the efficiency of budgetary funds utilization allocated for R&D. «Financial Analytics: Science and Experience», 4(350) - 2019 October-December
- Modern trends in the evolution of world financial centers: A regional perspective (Evidence from the International Financial Center in Luxembourg). «Digest Finance», 3(251) - 2019 July-September
- Predictive and prescriptive analyses: Theoretical considerations. «Digest Finance», 3(251) - 2019 July-September
- Accounting system and risk management: The need for interaction. «Financial Analytics: Science and Experience», 3(349) - 2019 July-September
- Evaluation of the effectiveness of bancassurance on the basis of modeling of the merger of commercial banks and insurance companies. «Financial Analytics: Science and Experience», 2(348) - 2019 April-June
- Macro-level risk assessment on the basis of aggregate indicators. «Financial Analytics: Science and Experience», 2(348) - 2019 April-June
- Reducing the uncertainty through analysis of the system structure. «Financial Analytics: Science and Experience», 2(348) - 2019 April-June
- The Use of Econometric Tools for Cost Management Analysis. «Digest Finance», 1(249) - 2019 January-March
- The Working Capital Management Model in Agricultural Business. «Digest Finance», 4(248) - 2018 October-December
- The Financing Model of the Regional Health System. «Digest Finance», 4(248) - 2018 October-December
- Economic expert analysis in insurance: Theoretical aspects. «Financial Analytics: Science and Experience», 4(346) - 2018 October-December
- The Economic Fallout of Exclusion of the Islamic Republic of Iran from the SWIFT International Payment Network. «Digest Finance», 3(247) - 2018 July-September
- Updating the Existing Approaches to Gauging the Length of Operating and Cash Conversion Cycles. «Digest Finance», 3(247) - 2018 July-September
- Setting the Stochastic Model for Mid-Term Prediction of Cryptocurrency Exchange Rate: The Bitcoin Case. «Digest Finance», 3(247) - 2018 July-September
- Assessment of Investment Project Risks in Aviation. «Digest Finance», 2(246) - 2018 April-June
- Modeling the Efficiency of the State Aid to the Development of Electric Vehicles. «Digest Finance», 2(246) - 2018 April-June
- Specifics of Analysis of Companies Operating in the Digital Economy. «Digest Finance», 2(246) - 2018 April-June
- Methodological approaches to estimating the currency risk of gold mining enterprises. «Financial Analytics: Science and Experience», 2(344) - 2018 May
- Expanding Analytical Capabilities of the Ratio Analysis of Entities' Solvency Through Cash Flows. «Digest Finance», 1(245) - 2018 January-March
- The Business Continuity Concept in the Assessment of Creditworthiness of Economic Agents. «Digest Finance», 1(245) - 2018 January-March
- Analytical possibilities of modern information systems in implementation of income approach to business valuation. «Financial Analytics: Science and Experience», 1(343) - 2018 February
- Energy Intensity of Development and the Preconditions for Its Abatement: An Econometric Analysis, with Emphasis on the CIS Countries. «Digest Finance», 4(244) - 2017 October-December
- Analysis and evaluation of the State program efficiency in the field of Russian industry. «Financial Analytics: Science and Experience», 12(342) - 2017 December
- New models for analysis of the reporting of organizations. «Financial Analytics: Science and Experience», 11(341) - 2017 November
- Hierarchical Copulae in Credit Risk Modeling. «Digest Finance», 3(243) - 2017 July-September
- The Method for Forecasting Box-Office Grosses of Movies with Neural Network. «Digest Finance», 3(243) - 2017 July-September
- Influence of restructuring sourcing on break-even point. «Financial Analytics: Science and Experience», 8(338) - 2017 August
- Assessment of banking risk reduction mechanisms in crisis economic conditions. «Financial Analytics: Science and Experience», 7(337) - 2017 July
- Managing the risk of stock market volatility and state economic policy uncertainty in international portfolio investment. «Financial Analytics: Science and Experience», 7(337) - 2017 July
- Model Tools to Assess the Production and Financial Reliability of Knowledge-Intensive and High-Tech Enterprises. «Digest Finance», 2(242) - 2017 April-June
- Innovative financial technologies and operational risk in remote banking. «Financial Analytics: Science and Experience», 6(336) - 2017 June
- A method for calculus of integral index of the region's innovative development. «Financial Analytics: Science and Experience», 4(334) - 2017 April
- Risk assessment in business: Business risk. «Financial Analytics: Science and Experience», 3(333) - 2017 March
- A risk-based approach to evaluation of the budgetary security of the Russian Federation. «Digest Finance», 1(241) - 2017 January-March
- Specifics of making provisions for contingent liabilities and their impact on solvency indicators of the entity. «Financial Analytics: Science and Experience», 2(332) - 2017 February
- Methods for managing risks of investment programs in Oil & Gas. «Financial Analytics: Science and Experience», 1(331) - 2017 January
- An impact of M&A announcements on companies operating in the U.S. chemical industry. «Financial Analytics: Science and Experience», 43(325) - 2016 November
- Valuation of the oil and gas company in line with risk factors: Evidence from Gazpromneft. «Financial Analytics: Science and Experience», 41(323) - 2016 November
- Economic cycles and risks of sovereign debt management. «Financial Analytics: Science and Experience», 37(319) - 2016 October
- Intergovernmental relations in the context of economic development challenges and growing budgetary risks in the constituent entities of the Russian Federation. «Financial Analytics: Science and Experience», 36(318) - 2016 September
- Assessment of the company-specific risk premium in estimating the required return on equity. «Financial Analytics: Science and Experience», 34(316) - 2016 September
- Classification of households' financial risks. «Digest Finance», 3(239) - 2016 July-September
- Real option as a way to minimize the risk of project financing in commercial banks. «Financial Analytics: Science and Experience», 29(311) - 2016 August
- Analysis of the operational risk impact on the financial performance of commercial banks. «Financial Analytics: Science and Experience», 28(310) - 2016 July
- Risk management in the stock market. «Financial Analytics: Science and Experience», 24(306) - 2016 June
- Comparative assessment of the reputational risk as a tool to regulate 'too-big-to-fail' banks in Russia. «Digest Finance», 2(238) - 2016 April-June
- Techniques for evaluation of the commercial bank's competitiveness: Russian and foreign practices. «Financial Analytics: Science and Experience», 21(303) - 2016 June
- Financial literacy: conceptual substance and practical aspects of its application in the regional bank’s operations. «Financial Analytics: Science and Experience», 20(302) - 2016 May
- A study into comprehensive investment projects to substantiate budgetary spending on the creation of industrial and technology parks. «Financial Analytics: Science and Experience», 19(301) - 2016 May
- Vulnerabilities of financial institutions and households to the risk of money laundering and terrorist financing: An analysis of mutual relations and implications in terms of financial security. «Financial Analytics: Science and Experience», 18(300) - 2016 May
- Analyzing the use of benchmarking technique for raising the competitiveness of banking services. «Financial Analytics: Science and Experience», 17(299) - 2016 May
- Budgetary risk of inflation. «Financial Analytics: Science and Experience», 14(296) - 2016 April
- The currency risk assessment model. «Financial Analytics: Science and Experience», 14(296) - 2016 April
- The program for automatic monitoring of integrated risk exposure for the research and development enterprise in the nuclear sector. «Financial Analytics: Science and Experience», 13(295) - 2016 April
- Factors hindering the development of energy services in the housing and utilities sector: an influence analysis. «Financial Analytics: Science and Experience», 13(295) - 2016 April
- The use of financial leverage to estimate synthetic credit rating of the entity. «Financial Analytics: Science and Experience», 13(295) - 2016 April
- Development specifics and prospects of leveraged buyouts in the Russian market. «Financial Analytics: Science and Experience», 12(294) - 2016 March
- An integrated approach to examining the risk of auto loan financing in banking: substance, specifics, and factors. «Financial Analytics: Science and Experience», 12(294) - 2016 March
- Identification and assessment of financial risks in contemporary business practices. «Financial Analytics: Science and Experience», 11(293) - 2016 March
- Analyzing foreign practices of setting up the risk management system: Evidence from infrastructure companies. «Financial Analytics: Science and Experience», 11(293) - 2016 March
- A comparative analysis of the structure and principles of sovereign wealth fund management. «Digest Finance», 1(237) - 2016 January-March
- On the issue of forecasting the solvency of small and medium-sized businesses and probability of their bankruptcy. «Financial Analytics: Science and Experience», 8(290) - 2016 February
- Assessment of the borrower’s default. «Financial Analytics: Science and Experience», 3(285) - 2016 January
- Risks of the import substitution strategy in the Russian agricultural industrial complex. «Financial Analytics: Science and Experience», 3(285) - 2016 January
- Cyclical patterns in modeling financial risks of priority development areas. «Financial Analytics: Science and Experience», 48(282) - 2015 December
- Theoretical and practical approaches to risk assessment for research and production enterprises in the nuclear industry. «Financial Analytics: Science and Experience», 45(279) - 2015 December
- Risks of long-term forecasts in the economy of the Russian Federation. «Financial Analytics: Science and Experience», 44(278) - 2015 November
- Evaluation imposing sanctions: world experience. «Financial Analytics: Science and Experience», 42(276) - 2015 November
- Risks of the banking sector: diagnostics and prevention. «Financial Analytics: Science and Experience», 40(274) - 2015 October
- Results of liquidity risk monitoring in operations of the Russian banking sector. «Financial Analytics: Science and Experience», 40(274) - 2015 October
- Basic parameters of the dividend policy. «Financial Analytics: Science and Experience», 39(273) - 2015 October
- Influence of cluster structures on the efficiency of human capital use. «Financial Analytics: Science and Experience», 37(271) - 2015 October
- Comparison of quantitative methods for evaluating the bank performance. «Financial Analytics: Science and Experience», 35(269) - 2015 September
- Trends in regulating the global systemically important financial institutions. «Financial Analytics: Science and Experience», 35(269) - 2015 September
- On improving the approaches to credit risk management in Russian commercial banks. «Financial Analytics: Science and Experience», 34(268) - 2015 September
- Analyzing financial risks within fundamental analysis of the company. «Financial Analytics: Science and Experience», 34(268) - 2015 September
- On methods of validation of rating systems under the Internal Ratings-Based approach to credit risk assessment of banks. «Financial Analytics: Science and Experience», 32(266) - 2015 August
- Risks in a system of personal finance. «Financial Analytics: Science and Experience», 32(266) - 2015 August
- Considering project risks in non-stationary conditions. «Financial Analytics: Science and Experience», 32(266) - 2015 August
- Fiscal risks and stability of the financial system: the experience of the European Union. «Financial Analytics: Science and Experience», 30(264) - 2015 August
- Modern aspects of managing risks of innovation projects. «Financial Analytics: Science and Experience», 28(262) - 2015 July
- Industry-specific features and areas of mitigating financial risks of agricultural enterprises. «Financial Analytics: Science and Experience», 26(260) - 2015 July
- Analyzing the application of marketing tools at the current stage of the banking market development: foreign experience and Russian practice. «Financial Analytics: Science and Experience», 26(260) - 2015 July
- An empirical analysis of dependence of the dividend policy on the company's life cycle stage. «Financial Analytics: Science and Experience», 23(257) - 2015 June
- A new approach to assessment of risk associated with shares: a methodology and practical use. «Financial Analytics: Science and Experience», 22(256) - 2015 June
- Formulating the relevant cost concept as a modification of fair value and the methods for its formation. «Financial Analytics: Science and Experience», 18(252) - 2015 May
- Financial analysis of insolvent companies: the role of financial and tax reporting. «Financial Analytics: Science and Experience», 18(252) - 2015 May
- Evaluating how innovative development sustainability depends on the economic condition of industrial enterprises using a correlation analysis. «Financial Analytics: Science and Experience», 18(252) - 2015 May
- Methods of forming an optimal leasing portfolio and its monitoring amid economic instability. «Financial Analytics: Science and Experience», 15(249) - 2015 April
- Management of small business value. «Financial Analytics: Science and Experience», 15(249) - 2015 April
- Forecast of the quality of imported goods for major chain retailers. «Financial Analytics: Science and Experience», 14(248) - 2015 April
- An algorithm for financial decision-making in milk processing companies. «Financial Analytics: Science and Experience», 13(247) - 2015 April
- Methods for evaluating the public procurement efficiency in national research universities. «Financial Analytics: Science and Experience», 13(247) - 2015 April
- Budgetary risks and budgetary errors. «Financial Analytics: Science and Experience», 12(246) - 2015 March
- Comparison of different methods of technical analysis when making investment decisions. «Financial Analytics: Science and Experience», 11(245) - 2015 March
- Approaches to assessing the competitive impact of non-banking subjects of competition on banking competition in Russia. «Financial Analytics: Science and Experience», 11(245) - 2015 March
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