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Financial Analytics: Science and Experience
 

«Financial Analytics: Science and Experience»

Vol. 12, Iss. 2, June 2019

 RISK, ANALYSIS AND EVALUATION

pp. 128–149

Reducing the uncertainty through analysis of the system structure

Sinyavskii N.G. )

pp. 150–164

Macro-level risk assessment on the basis of aggregate indicators

Gadii L.G. / Kiyutsevskaya A.M. / Sherbustanova M.E. )

pp. 165–182

Evaluation of the effectiveness of bancassurance on the basis of modeling of the merger of commercial banks and insurance companies

Ekimov A.V. )

 FINANCIAL INSTRUMENTS

pp. 183–203

Corporate business value: Asymmetric information in calculating economic value added

Fedorovich V.O. / Fedorovich T.V. )

pp. 204–218

Theoretical framework and practical models of behavioral extrapolation

Bogatyrev S.Yu. )

 Economic policy

pp. 219–233

Financial capital as a product of financial globalization at the present stage of economic development

Metel'skaya V.V. )

 Tax regulation

pp. 234–244

The tax burden measure influence on the tax risk determination

Shchepot'ev A.V. )

 

ISSN 2311-8768 (Online)
ISSN 2073-4484 (Print)

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Vol. 17, Iss. 1
March 2024

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