Двуслойные интервальные взвешенные графы в оценке рыночных рисков
A model is in-process offered with the correction of prognosis. It can be used in practice of prognostication of socio-economic dynamics. On occasion it follows this model to give preference before other models. Important advantage of the offered model as compared to other modifications of model of Brauna is that it does not require a priori task of kind a tendency.
The article describes the use of Excel programme for risk assessment models: method of sensitivity analysis, scenarios method, Monte-Carlo method.
long-term investment project, risk, method of sensitivity analysis, Scenario method, method of Monte Carlo simulation