OPTIMIZATION OF INVESTMENTS IN CORPORATE RISK MANAGEMENT

In tIn this article, the problem of optimizing investments in risk management is considered through the theory of the firm and the problems arising from this theory (the problem of the «principal-agent», the theory of contracts). The purpose of this study is the theoretical and empirical evidence of...

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书目详细资料
主要作者: V. A. Makarova
格式: 文件
语言:Russian
出版: Real Economics Publishing House 2019-11-01
丛编:Стратегические решения и риск-менеджмент
主题:
在线阅读:https://www.jsdrm.ru/jour/article/view/849