Conţinutul numărului revistei |
Articolul precedent |
Articolul urmator |
1262 180 |
Ultima descărcare din IBN: 2024-04-22 19:20 |
SM ISO690:2012 APOSTU-MARIAN, Gabriela, DOBRIN, Cosmin. Managementul riscurilor. In: Analele Ştiinţifice ale Universităţii Cooperatist-Comerciale din Moldova, 2012, nr. 10, pp. 48-52. ISSN 1857-1239. |
EXPORT metadate: Google Scholar Crossref CERIF DataCite Dublin Core |
Analele Ştiinţifice ale Universităţii Cooperatist-Comerciale din Moldova | ||||||
Numărul 10 / 2012 / ISSN 1857-1239 | ||||||
|
||||||
Pag. 48-52 | ||||||
|
||||||
Descarcă PDF | ||||||
Rezumat | ||||||
For any investment in economy, trade and consumption cooperation there are 2 options: the probability to achieve a detailed benefit and the probability to suffer a loss. The existence of these 2 versions implies a detailed analysis when they decide the completion of an investment. Taking an investment decision represent a “bet” with the future, based on the management’s anticipations or hopes of winning. The anticipations of a project of investment can be compromised by events whose sources are multiple, forcing the management to consider the risk and doubts. |
||||||
Cuvinte-cheie Risk, market price, interest, credit, liquidity |
||||||
|