Non-profit crowdfunding: risk of fraud
Analysis and specifics of possible risks of fraud and real criminal actions committed using crowdfunding platforms based on non-investment business models. Research on known fraud cases through crowdfunding. Risk of fraud committed by the platform owners.
Подобные документы
Aspects of risks in the banking industry of Syria from the point of view of macroeconomics in the current crisis conditions in the country. Barriers to the development of the banking industry in Syria. Economic sanctions and currency fluctuations.
статья, добавлен 02.06.2018Research of the impact of information technology on threats to economic security of the enterprise. Analysis of information risks for accounting and search for measures to prevent possible information hazards. Formation of the information society.
статья, добавлен 18.01.2022The essence of the concept of inflation targeting. Identification and analysis of potential risks the implementation of inflation targeting in Ukraine, their background and ways of overcoming. The use of foreign experience of inflation targeting.
статья, добавлен 27.08.2016- 29. Fitness Gym
Draft a business plan for the Fitness Gym. Services, major participants, market trends. The influence of external and internal factors: political, social, economic. Sources of financing, pricing and distribution. Analysis of consequences and risk factors.
бизнес-план, добавлен 04.10.2016 Increase in the risks of crisis in the industrial sector. The strengthening of the impact of the crisis on the activities of all sectors of the economy of Ukraine. Substantiation the solvency of industrial and machinebuilding enterprises of Ukraine.
статья, добавлен 04.02.2021The study of Internet technologies to analyze financial and monetary markets, evaluation of investment projects. Assessment of level of innovative potential and profit, engagement of the economy, the development of an algorithm for investment management.
статья, добавлен 20.02.2016Critical analysis of corporate bonds Morgan Stanley. Summary of different types of risks associated with investing in bonds, price sensitivity analysis under different scenarios, the calculation of total revenue dollars and the fair value of the bond.
курсовая работа, добавлен 20.03.2013Interpretation of the contrarian investment strategy. Empirical studies of the contrarian investment strategy. Theoretical explanations of the contrarian phenomenon. Methodology for performance evaluation. Evidence for existence of mean reversion.
дипломная работа, добавлен 22.01.2016Study of the procedure for ranking investment performance based on indicators of technical economic analysis. Development of a non-additive method of preference based on similarity with the ideal solution for technical indicators of product groups.
статья, добавлен 20.03.2020Bond as an emission debt security the owner of which is entitled to receive from the person who issued it, within the stipulated period of its par value. The influence of the global factor in the expectations of investors for a risk premium on bonds.
дипломная работа, добавлен 19.08.2016Most effective way to cope with the rise of manufactured risk is to limit responsibility by adopting the "precautionary principle". Variations on the precautionary principle can nevertheless be a significant way of the reintroducing responsibility.
статья, добавлен 10.08.2013Substantiate the expediency of hedging the risk of a decrease in revenue based on the derivative financial instruments using the example of wheat futures. The main stages of selling and factors affecting the prices of wheat in Ukraine were studied.
статья, добавлен 31.01.2024Scientific and methodical approach to coordinate the interests of different groups in forming cooperative alliances of levels of the hierarchy. Identification of scenarios of socio-economic and spatial development taking into account risk factors.
статья, добавлен 30.08.2018The comparison on the limited terrain of models of economic growth. Positive net investment is the passive result of an optimal allocation decision. Defining the rate of profit. A short-run technology, Cobb-Douglas relation. Classical saving function.
статья, добавлен 10.09.2012Research stimulated by the financial crisis: understanding the role of financial market frictions. Interactions between the real and financial economy. Methods and application for dynamic equilibrium models. Extending the monopolistic competition models.
статья, добавлен 18.02.2016Analysis of current trends and levels of development of social investment and corporate social responsibility in Russia. Analysis of the classic "Carroll pyramid" and its compliance with the Russian realities of doing socially responsible business.
статья, добавлен 25.04.2018The development of a system of actions for business tokenization. The nature of the blockchain of Ukrainian enterprises is related to the processes of decentralization in society. Its ontological and organizational principles in the crypto industry.
статья, добавлен 27.04.2023Payoff function derivation. Account investors expectations and risk. The simulation scenario macroeconomic variables. The assessment of the likelihood of the scenario and parameter of the Bank. The regression analysis for indicators of the Bank.
дипломная работа, добавлен 06.07.2016The object of the study is the IT activities of enterprises. The subject of the study is the risks of relocation and functioning of IT business entities in a state of war, using the example of Zakarpattia Oblast. Main types and characteristics of risks.
статья, добавлен 28.01.2023Development of a concept for a comprehensive assessment of the probability of bankruptcy of agricultural enterprises in Ukraine, taking into account the specifics of agricultural activity. Identification of risks and threats in agricultural production.
статья, добавлен 04.05.2022Considers the development of attractive strategies featuring cryptocurrency assets, considering their costs and potential risks. The object of analysis is cryptocurrency as an investment instrument. Therefore, cryptocurrencies should not be correlated.
статья, добавлен 15.06.2021General Characteristics of JSC "Intergas Central Asia". Financial risks. Vision and purpose of the JSC "Intergas Central Asia". Organizational structure. Analysis of key markets and Analysis of Financial Statements. Financial and economic indicators.
отчет по практике, добавлен 15.02.2016The check for bubble driven by investors with extrapolative expectations. Adjusted weights of value, growth signals. New model of expectation formation. Empirical analysis. Noise trader risk in financial markets. Contrarian investment and extrapolation.
курсовая работа, добавлен 11.02.2017Liquidation value: methods of calculation. Estimation of business value. This includes or a company that has its own owner, and which derives profit from the implementation of its business or company activities. An economic analysis of the enterprise.
статья, добавлен 12.02.2019It has been studied that during the martial law, it is important to promote the stable operation of the industrial complex by moving enterprises from the zone of increased risk. The amount of state support for business by countries is demonstrated.
статья, добавлен 12.08.2022