Вестник Северо-Кавказского федерального университета (May 2022)
DIVERSIFICATION AS A METHOD TO MINIMIZE THE NEGATIVE EFFECTS OF FINANCIAL RISKS
Abstract
They are considered actual problems of financial risk management, the necessity of using diversification offinancial activities and financial instruments in order to minimize the negative effects offinancial risks; the proposed method of determining the forecast of the courses and justify the choice offinancial instrument with the lowest degree of risk.