logo
calendar30 Iyun 2024
view31
Main language:Uzbek

INTERNATIONAL STANDARDS FOR RISK MANAGEMENT

Field of Science:
pdf

66810d759b11d.pdf

PDF

ARTICLE ANNOTATION

quote
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.

AUTHORS

M.Abdullayeva

Toshkent davlat iqtisodiyot universitet

Tags

# эффективность# efficiency# capital# капитал# samaradorlik# инвестиционная деятельность# investment activity# corporate finance# finance# финансы# financial stability# риск-менеджмент# moliya# kapital# Risk management# оценка.# financial instruments# финансовые инструменты# moliyaviy barqarorlik# investitsion faoliyat# финансовая устойчивость# risk menejmenti# moliyaviy instrumentlar# korporativ moliya# baholash.# корпоративные финансы# valuation.

OTHER ARTICLES IN THIS JOURNAL

Rate Article

0
0 ratings
5
4
3
2
1

Article Identifiers

References

Aaron Lancaster, Sarah Goff (2023) Financial Risk Management Fundamentals// September 21, https://www.auditboard.com/blog/financial-risk-management/#authors

Burxanov A.U. (2019) Korxonalar moliyaviy barqarorligi: nazariya va amaliyot Monografiya – T.: «Innovatsion rivojlanish nashriyot-matbaa uyi», 2019. 160 b.

Farmon (2022) O‘zbekiston Respublikasi Prezidentining 2022 yil 28 yanvardagi PF-60-sonli «2022-2026 yillarga mo‘ljallangan yangi O‘zbekistonning taraqqiyot strategiyasi to‘g‘risida» Farmoni.

Mu Fan, Xunan Chen, Bo Liu, Fei Zhou, Bo Gong, Rancheng Tao, (2023) An analysis of financial risk assessment of globally listed football clubs, Heliyon, Volume 9, Issue 12, 2023, e22886, ISSN 2405- 8440 https://doi.org/10.1016/j.heliyon.2023.e22886

Qi Wang, Lin Zhang, Qianqun Ma, Chong Wu, (2024) The Impact of Financial Risk on Boilerplate of Key Audit Matters: Evidence from China, Research in International Business and Finance, 102390, ISSN 0275-5319, https://doi.org/10.1016/j.ribaf.2024.102390.

Xamdamov O.N. (2021) Moliyaviy barqarorlik strategiyasini shakllantirishning xalqaro amaliyot tajribalari//“Logistika va iqtisodiyot” ilmiy elektron jurnali 2021 yil 5-son.

Баранов А. (2015) Международные стандарты управлениya рисками: не базелем единым//Рынок ценных бумаг № 5.

Боровская И.Л., Шайхутдинова А.К. (2019) К вопросу об управлении финансовыми рисками. Вестник университета «Туран». (3): 86-91.

Солодов А.К. (2017) «Основы финансового риск-менеджмента»: учебник и учебное пособие// – М.: Издание Кнорус, – 24,0 п.л