
The article is devoted to the study of financial risks of a corporation. The following financial systematic risks are considered: inflation, interest rate, currency, stock and commodity. The main types of financial non-systematic risks of a corporation are also identified and characterized: credit, investment, deposit, liquidity risk and bankruptcy risk.
Статья посвящена исследованию финансовых рисков корпорации. Рассмотрены финансовые систематические риски: инфляционный, процентный, валютный, фондовый и товарный. Также выявлены и охарактеризованы основные виды финансовых несистематических рисков корпорации: кредитный, инвестиционный, депозитный, риск ликвидности и риск банкротства.
КОРПОРАЦИЯ, FINANCIAL RISKS, FINANCIAL MARKETS, CORPORATION, МИТИГАЦИЯ РИСКОВ, ФИНАНСОВЫЕ РИСКИ, ФИНАНСОВЫЕ РЫНКИ, RISK MITIGATION, РИСК-МЕНЕДЖМЕНТ, RISK MANAGEMENT
КОРПОРАЦИЯ, FINANCIAL RISKS, FINANCIAL MARKETS, CORPORATION, МИТИГАЦИЯ РИСКОВ, ФИНАНСОВЫЕ РИСКИ, ФИНАНСОВЫЕ РЫНКИ, RISK MITIGATION, РИСК-МЕНЕДЖМЕНТ, RISK MANAGEMENT
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