Риски использования цифровых финансовых активов промышленными предприятиями: эмпирический анализ

Pavel S. Kuzmin
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Abstract

The present paper touches upon the issue of risk analysis of digital financial assets using by industrial enter-prises. The work formed a register of these risks, grouped into four key areas: cybersecurity vulnerabilities, the impact of underlying financial assets on digital financial assets, risks of changes in regulatory legal acts, other threats and vulnerabilities. Overall, 13 risks were identified. Furthermore, using the method of probability and consequence matrices, an assessment of the identified risks was carried out using a survey of experts. The experts assessed the current level of risks, then proposed measures that could reduce the risk, and then as-sessed the residual risk when implementing all measures. The results of the assessment are graphically pre-sented in the form of two matrices: current risks and residual risks.
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工业企业使用数字金融资产的风险:经验分析
本文探讨了工业企业使用数字金融资产的风险分析问题。这项工作形成了这些风险的登记册,分为四个关键领域:网络安全漏洞、基础金融资产对数字金融资产的影响、监管法律行为变化的风险、其他威胁和漏洞。总的来说,确定了13个风险。此外,利用概率和后果矩阵的方法,利用专家调查对识别的风险进行了评估。专家们评估了当前的风险水平,然后提出了可以降低风险的措施,然后对实施所有措施时的剩余风险进行了评估。评估结果以图形形式以两个矩阵的形式呈现:当前风险和剩余风险。
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