在宏观经济不稳定的背景下,改进识别金融风险的方法

IF 0.2 Q4 SOCIAL SCIENCES, INTERDISCIPLINARY Revista San Gregorio Pub Date : 2021-03-26 DOI:10.36097/RSAN.V1I44.1587.G918
O. Khamzina, S. A. Meshkov, I. Saenko, R. R. Sharipov, A. Tretyak, N. Bochkareva
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引用次数: 0

摘要

该研究主题的相关性是因为任何商业活动领域都会面临不同类型的金融风险,而人类必须在与冠状病毒感染传播相关的困难流行病学条件下观察到这些风险。新冠肺炎在世界各地的快速传播导致股市大幅波动,股市在短时间内暴跌至20年前的水平。由此可见,金融风险研究是现代最相关的课题。
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Improving the methodological approach to identifying financial risks in the context of macroeconomic instability of the economy
The relevance of the research topic is due to the fact that any area of commercial activity is subject to different types of financial risks, which humanity had to observe in difficult epidemiological conditions associated with the spread of coronavirus infection. The lightning-fast spread of Covid-19 around the world led to significant volatility in the stock market, which in a short time collapsed to the level of twenty years ago. It follows that the study of financial risks is the most relevant topic in modern times.
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来源期刊
Revista San Gregorio
Revista San Gregorio SOCIAL SCIENCES, INTERDISCIPLINARY-
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审稿时长
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