Вестник Северо-Кавказского федерального университета (May 2022)

DIVERSIFICATION AS A METHOD TO MINIMIZE THE NEGATIVE EFFECTS OF FINANCIAL RISKS

  • Olga Pakova

Journal volume & issue
Vol. 0, no. 6
pp. 128 – 131

Abstract

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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.

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