Please use this identifier to cite or link to this item: http://dspace.usarb.md:8080/jspui/handle/123456789/4339
Full metadata record
DC FieldValueLanguage
dc.contributor.authorMovilă, Irinaro
dc.date.accessioned2019-08-17T10:12:05Z-
dc.date.available2019-08-17T10:12:05Z-
dc.date.issued2019-
dc.identifier.citationMovilă, Irina. Metode de analiză a riscului financiar al întreprinderii în condiţiile incertitudinii / I. Movilă // Tradiţie şi inovare în cercetarea ştiinţifică, Ediţia a 8-a: Materialele Colloquia Professorum din 12 oct. 2018. – Bălţi : US „Alecu Russo”, 2019. – P. 159-162. – ISBN 978-9975-50-235.ro
dc.identifier.urihttp://dspace.usarb.md:8080/jspui/handle/123456789/4339-
dc.description.abstractThe risk reflects the possibility that economic and financial results may evolve in a way that can lead to bankruptcy. Identifying and assessing these risks is the most complicated stage of an enterprise's risk management system. Risk assessment is divided into qualitative analysis and quantitative analysis. The article presents methods for analyzing the financial risk of the enterprise under uncertainty: method based on the profitability threshold and the leverage method.en
dc.language.isororo
dc.publisherUSARBro
dc.rightsAttribution-NonCommercial-NoDerivatives 4.0 International*
dc.rights.urihttp://creativecommons.org/licenses/by-nc-nd/4.0/*
dc.subjectvaluation methodsen
dc.subjectfinancial risken
dc.subjectprofitability thresholden
dc.subjectleverage effecten
dc.titleMetode de analiză a riscului financiar al întreprinderii în condiţiile incertitudinii [Articol]ro
dc.typeArticleen
Appears in Collections:Articole

Files in This Item:
File Description SizeFormat 
Mivila_I_metode.pdf486,71 kBAdobe PDFThumbnail
View/Open


This item is licensed under a Creative Commons License Creative Commons