Risk And Responsibility

Most 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.

Подобные документы

  • The principles of formation, classification, evaluation of risks accompanying investment activity. The stages а decision-making in the given economic category. The mechanisms for determining the potential value of financial losses from investments.

    статья, добавлен 28.09.2016

  • Analysis of the essence and methods of pricing in natural monopolies. Regulation of the rate of return, calculation on the principle of "cost plus output". Setting fixed maximum price limits. Participation in profits with a movable (sliding) scale.

    статья, добавлен 24.01.2022

  • Investigates and develops J. Schumpeter’s approach to economic development. Received basic conditions for financing of new combinations in the growth phase and depression of the economy. Analysis of results of discovery of a new commodity market.

    статья, добавлен 30.03.2017

  • The effect of deposits at risk is the uncertainty. Build a model based on prospect theory and operationalization of its definition. Analysis of the results and the applicability of theories that explain human behavior under conditions of uncertainty.

    дипломная работа, добавлен 30.07.2016

  • Alferd Marshall. Mikhail Tugan-Baranovsky. Gustav von Schmoller. Comparing the tables of contents. Comparing methodological approach. The subject of economic science. Induction vs deduction. Principle of continuity. Employment of mathematical models.

    курсовая работа, добавлен 30.06.2017

  • The 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 11.02.2017

  • Рассмотрение и оценка финансовых рисков компании. Методы исчисления VaR: метод вариации-ковариации, историческое моделирование, метод Монте-Карло, дельта нормальный метод и ручной. Расчет риска в соответствии с Положением Центрального Банка России.

    статья, добавлен 15.07.2018

  • One of the main reasons why the EU has achieved such impressive results in minimizing landfills and increasing the rate of recycling has been the "polluter pays" principle. The cost of waste management for the producer should be equal to all the costs.

    статья, добавлен 19.10.2023

  • 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

  • Areas of ensuring the harmonization of economic interests of economic entities are highlighted, namely: innovative cooperation; optimization preservation and focusing strategy; digitalization of business. Harmonizing the economic interests of enterprises.

    статья, добавлен 03.07.2023

  • It 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

  • Critical 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 20.03.2013

  • The analysis of social risks as a result of the implementation of European approaches to social policy. The unjustified maintenance of a system of privileges for certain categories of citizens. Increasing government spending on social support programs.

    статья, добавлен 28.09.2016

  • У науковій статті автором визначено основні підходи розрахунку VaR та їхні переваги та недоліки. Модель VaR аграрних підприємств має слабку сторону в припущенні про логнормальний розподіл, який не є стійким після від’ємних значень нафтових ф’ючерсів.

    статья, добавлен 26.06.2023

  • Introduce new tools to quantify the impact of cross-border transactions on the local economy. Analysis of decisions of international banks to increase or decrease the amount of risk transfers from a particular economy, consideration of the features.

    дипломная работа, добавлен 10.08.2020

  • Анализ методологии и современных трендов в моделях оценки активов. Необходимость создания модели ценообразования акций, оптимальным образом оценивающую риски изменения доходности, в том числе на основе чувствительности к риску по модели Tail risk.

    дипломная работа, добавлен 23.09.2018

  • Research of power-memory accelerators within the discrete time approach. The essence of the principle of regulation of fixed capital, proposed by Matthews. Application of equivalence of fractional differential equations and Volterra integral equations.

    статья, добавлен 11.07.2018

  • Theoretical and methodological aspects of formation and realization of economic interests. Causal links between these processes. Application of the "potential-real" principle to determine the content of the mechanism of formation of economic interests.

    статья, добавлен 28.05.2021

  • Building an adequate model of the Ukrainian agricultural insurance market. Peculiarities of insurance of agricultural products with state support. Studying the impact of the Covid-19 coronavirus pandemic on the development of farms, reducing risks.

    статья, добавлен 04.05.2022

  • Theoretical background for risk arbitrage. Transaction costs theoretical background. Background of linear discriminant analysis. Assumptions of the model. Optimal classification. Speculation spreads and tender market pricing of proposed acquisitions.

    дипломная работа, добавлен 26.08.2016

  • Introduction to Present Value. Foundations of the Net Present Value Rule. Corporate Goals and Corporate Governance. Discount Factors and Rates. Example of calculating the cost of an office building. Risk and Net Present Value. Rate of Return Rule.

    лекция, добавлен 02.08.2013

  • Research of the main concepts and trends related to digitalization and transformation of the investment landscape. Development of fintech startups and digital technologies in Ukraine. Assessment of cyber security, volatility and financial fraud risks.

    статья, добавлен 26.12.2023

  • The 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

  • Research of a dynamic model for 3 and 4 moments of distribution of returns - bevel and kurtosis. Risk of the Russian and American stock markets. The return on a portfolio of high dividend stocks. The size of the dividend as a potential additional utility.

    дипломная работа, добавлен 27.08.2020

  • Proposals for the introduction of a hierarchical three-level system of agricultural advisory services. Justification of the need to review the principle of financing advisory activities and the introduction of digital advisory web platforms in Ukraine.

    статья, добавлен 11.01.2023

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