On the nature and importance of the credit risk of an enterprise
Concept and essence of credit risk. Understanding the risk of occurrence of the overdue obligations of the lending company for loans and financial investments, due to the failure or improper fulfillment by the supplier or buyer of its debt obligations.
Подобные документы
- 76. Evaluation the liquidity of commercial bank (on the example of the Commercial bank Kyrgyzstan, OJSC)
Analysis of term liquidity of bank and factors that define them. Characteristic of the concept of liquidity risk and management approaches. Analysis of the balance sheet of сommercial bank. Assessment of liquidity and management politics of bank.
курсовая работа, добавлен 25.05.2017 The essence of financial security of financial institutions of Ukraine in the circumstances of a state of war and providing proposals for its provision. Key aspects and methods of ensuring the sustainability and hope of financial institutions in the EU.
статья, добавлен 19.03.2024Conceptual foundations and essential characteristics of local budgets' revenues. Ensuring the self-sufficiency of Ukraine's economy in the conditions of the struggle for independence and sovereignty. Principles of distribution of financial resources.
статья, добавлен 26.12.2023Analysis of the state of the Russian financial system by assessing its concept, viewing the current structure, identifying problems and prospects for future development. Functions of the fiscal concept. The formation, redistribution and use of funds.
статья, добавлен 15.04.2019Evaluation of the effectiveness of the modern company in various aspects, its competitiveness and growth opportunities, absolute profit figures. Calculation of indicators of relative profitability. Assessment of the financial position of the company.
статья, добавлен 01.09.2018The reveals the essence of tax risks of the enterprise; the types of losses they will receive in the event of certain tax risks are described. It is noted that the tax risks of the enterprise should be analyzed in terms of economic, legal, social plane.
статья, добавлен 30.03.2023Analysis of the company’s annual reports. Examination of company’s footwear & apparel business segment development. Forecast revenue and other financials required for company’s valuation. Building of DCF model based on assumptions and forecasts.
дипломная работа, добавлен 10.08.2020Theoretical and practical aspects of ensuring the financial security of Ukraine, the main macroeconomic indicators that determine the level of economic security. Factors that determine current level of financial security and the level of their influence.
статья, добавлен 25.01.2022Insurance companies - the leading financial intermediaries that meet the requirements of modernity and go beyond the core business. Taking into account the features of each participant - the task of the project manager of the financial supermarket.
статья, добавлен 01.01.2019Consideration of technological innovations as the driving force of development, the main optimization technology, with high growth rates of industrial enterprises. Assessment of the profitability and risks of Chinese shares, recommendations to investors.
дипломная работа, добавлен 10.08.2020More incomes have increased a demand for investments in order to bring in more income above their regular income. The employment opportunities gave rise to increasing incomes. Awareness of financial assets and has led to the ability of people to save.
статья, добавлен 11.02.2021Понятие мирового финансового рынка и его участники, основные тенденции. Частные и институциональные инвесторы. Сущность и особенности хедж-фондов, подходы к оценке и типы их операционных рисков. Анализ достаточности капитала. Методика Value-at-Risk.
дипломная работа, добавлен 15.04.2013Управление финансовыми рисками. Value-at-Risk (VaR) как мера максимального потенциального изменения стоимости портфеля финансовых инструментов. Характеристика основных методов вычисления VaR. Сравнение точности и скорости разных методов вычисления VaR.
статья, добавлен 10.08.2018Development of predictive models of risk management in the field of Finance. Research of the dynamics of crypto currency markets. Applying linear and polynomial extrapolation methods to analyze the annual Bitcoin. Building cryptocurrency price forecasts.
статья, добавлен 12.05.2024Going concern in terms of economic instability and financial disorders. The effect of a firm's capital structure on its market value. Connection between ratio of total debt to total capital of the company and its market value in economy of Nigeria.
статья, добавлен 23.03.2016Оценка показателей кредитного риска посредством RAROC (Risk-Adjusted Return on Capital). Учет изменений качества и рискованности портфеля. Необходимость включения показателя управления качеством портфеля в процесс бизнес-планирования организации.
статья, добавлен 28.06.2018Сущность хозяйственного риска организации и причины его возникновения. Финансовые инструменты управления рисками организации. Основные направления и методы расчета финансового риска: теоретический аспект. Value-at-risk: методика расчета рыночного риска.
дипломная работа, добавлен 22.07.2017Substantiation of necessity of financial analysis, on the example of a commercial firm. The role of analysis for raising capital in the company. Development of recommendations to improve the external and internal financing and increase your profits.
контрольная работа, добавлен 16.10.2013The concepts of Markowitz`s portfolio theory. The way to find the value of a risky security to add a premium for risk to the pure rate of interest. The followings from the relation between the variance of the return of a portfolio and of its securities.
статья, добавлен 11.08.2013Reduce total costs of goods and services as one of the essential thing in the implementation of cost-leadership strategy. Characteristics of the general scheme of different indicators evaluation in the process of the financial condition analysis.
статья, добавлен 26.09.2016Advantages and risks of legal activity of the cryptocurrency market in Ukraine. The impact of the legalization of cryptocurrencies on the environment and the economy. Risks of cryptocurrency turnover compared to traditional money. Ways to reduce them.
статья, добавлен 24.02.2024Recourse to the private sector capital to complete public investment projects for which there were insufficient funds in the public budget. Numerous benefits private sector (technical expertise, risk transfer, costs reduction and time for implementation).
статья, добавлен 26.09.2016The concept and structure of the financial system of the state, its role, tasks and functions in the economy. The legislative basis for the development of the financial system of Kazakhstan. Development and improvement of the financial system the state.
курсовая работа, добавлен 11.03.2015Study of the questions the applicability of the efficient market hypothesis for analysis of financial markets. Analyze methods of forecasting future prices of financial assets based on the concept of the fractal structure and long-term memory of markets.
статья, добавлен 26.06.2018The analysis of factors, conditions that affect the attractiveness of mining investment in Poland. Political risk, institutions and foreign direct investment. Measurement of competitive advantages and market attractiveness for strategic controlling.
статья, добавлен 30.11.2020