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The main features of the financial management of the financial risks : The word’s experience and georgia
Date Issued
2020
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Abstract
In the master degree thesis, features of financial risk management : ,, worls experience and Georgia”, which is dedicated to one of the most actual issues, such as the financial risk management and features.
In the first chapter of the thesis – risk and quantitative assessment, where is discussed, about meaning of the notion ,,risk”, the management of the financial risk, the qualification of the finantiol risks and methols of avaluation.
In the second chapter of the thesis include: The systematic management of the financial risk in the worls where is discussed about globalization as the factor of increasing financial and there are existing kinds of financial risks.
In the third chapter of the thesis is discussed about management of risks in Georgia. There are the main principal , the prcess of risks the assessment of risks and borroweris solrency during provide a loan.
The results of the research are generalized in the conclusion, the main idea and the motivation of the research is to calculate risks on the finane market, which is crcucual in this sector. The results at the and show us how risks regarding to finances can be managed and stabilized
In the first chapter of the thesis – risk and quantitative assessment, where is discussed, about meaning of the notion ,,risk”, the management of the financial risk, the qualification of the finantiol risks and methols of avaluation.
In the second chapter of the thesis include: The systematic management of the financial risk in the worls where is discussed about globalization as the factor of increasing financial and there are existing kinds of financial risks.
In the third chapter of the thesis is discussed about management of risks in Georgia. There are the main principal , the prcess of risks the assessment of risks and borroweris solrency during provide a loan.
The results of the research are generalized in the conclusion, the main idea and the motivation of the research is to calculate risks on the finane market, which is crcucual in this sector. The results at the and show us how risks regarding to finances can be managed and stabilized
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Neli Mshvenieridze Samagistro.pdf
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ფინანსური რისკების მართვის ძირითადი თავისებურებანი: მსოფლიოს გამოცდილება და საქართველო
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742.84 KB
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Adobe PDF
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(MD5):829baea70cf37ad65515684d9a8d24de