INTERNATIONAL STANDARDS FOR RISK MANAGEMENT

Authors

DOI:

https://doi.org/10.60078/2992-877X-2024-vol2-iss5-pp12-18

Abstract

This article describes the relevance of managing and assessing financial risks when developing company forecasts. International standards for assessing financial risks and their economic essence have been studied. Conclusions are drawn about the important features of financial risk management. A scientific proposal and practical recommendations for improving risk management have been developed

Keywords:

risk management investment activity financial stability capital finance efficiency, financial instruments corporate finance valuation

References

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How to Cite

Abdullaeva, M. (2024). INTERNATIONAL STANDARDS FOR RISK MANAGEMENT. In Economic development and analysis. https://doi.org/10.60078/2992-877X-2024-vol2-iss5-pp12-18