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Software Risk Management: Using the Automated Tools
Ch. 8. P. 85-97.
Software development process nowadays faces many challenges and risks. In order to manage risks we need to understand the scope and objectives of the software developments and use the appropriate automated risk management tool. The study addresses software risk management in software development area and an approach to analysis, structuring, and evaluating risk with the help of specialized automated tools. The author provides recommendations on how to define a set of selection criteria for automated tools and analyses the growing demand for service hosting solutions and web-applications, stressing that almost any software including risk management tools can be successfully run using this method.
In book
Netherlands : Springer, 2016
Avdoshin S. M., Pesotskaya E. Y., , in : Перспективные направления исследований в области бизнес-информатики: Материалы XI международной конференции. : Nizhny Novgorod : Higher School of Economics in Nizhny Novgorod, 2012. P. 36-48.
Software development process nowadays faces many challenges and risks. In order to manage risks we need to understand the scope and objectives of the software developments and use the appropriate automated risk management tool. The study addresses software risk management in software development area and an approach to analysis, structuring, and evaluating risk with the ...
Added: November 19, 2012
Avdoshin S. M., Pesotskaya E. Y., / Institute of Electrical and Electronics Engineers. Series "IEEE Xplore Digital Library". 2012.
Modern software development faces many challenges nowadays. In order to avoiding, minimizing, and monitoring the risks and their impact, it is important to identify, estimate and evaluate the risks. The study addresses software risk management in software development area. An approach to analysis, structuring, and usage is proposed for the information technology (IT) projects in ...
Added: May 4, 2012
Myasnikov A., В кн. : Математическое и компьютерное моделирование в экономике, страховании и управлении рисками: Материалы VII Международной молодежной научно-практической конференции. : Саратов : ООО "Издательство "Научная книга", 2018. С. 224-227.
The article suggests some possible applications of statistical data analysis to risk management in factoring. The major attention is drawn to fraud risk since it is usually one of the most important forms of risk in factoring. ...
Added: April 5, 2019
Springer, 2023
This volume discusses topics of global sustainability involving sustainability indicators, stakeholders' participation, and technological and strategic advances with the goal of "thinking locally to act globally". Scientists, academics, policymakers, and planners are currently focused on escalating global socioeconomic and ecological issues, such as rising inequality, adverse anthropogenic impacts on the environment, and deficiencies in natural resources. ...
Added: March 6, 2023
Shvets S. K., Вестник Российской академии естественных наук 2013 № 4(17) С. 43-51
We assess the current level of risk management in Russian companies and determine key trends of risk management development. Problems and factors of risk management development in Russia are described. The evolution of comcepts of corporate risk management is researched. We analyze the theory of risk taking into consideration the new paradigms of technological structures ...
Added: March 9, 2014
Kayasheva E., Финансы и кредит 2010 № 43(427) С. 39-47
В статье отмечается, что с 01.08.2010 по указанию Банка России в размер требуемого собственного капитала кредитной организации должен обязательно входить капитал на покрытие потерь от операционного риска. Разъясняется, почему этому виду риска стали уделять особое внимание и выделили его в отдельную категорию при расчете капитала. Даны пояснения, какие требования регулятор предъявляет к банкам в отношении ...
Added: October 12, 2012
Lesnykh V., Demkin I. V., Gabrielov A., Газовая промышленность 2012 № 8(678) С. 22-25
Проекты в нефтегазовой отрасли предполагают осуществления крупных инвестиционных затрат, возврат которых невозможен без эффективного управления рисками. Наряду с природно-климатическими, техническими, геополитическими, правовыми и прочими рисками, существенное влияние на нефтегазовые проекты оказывают рыночные факторы, и в первую очередь изменение цен на энергоносители. Управление ценовым риском требует комплексного подхода и использования достаточно широкого круга методов и инструментов, ...
Added: November 25, 2012
Kayasheva E., Сытин Ф. М., Управление финансовыми рисками 2010 № 3(23) С. 184-195
Цель данной статьи — познакомить читателей с опытом построения системы управления операционными рисками. Авторы описывают основные этапы внедрения системы, а также детально рассматривают функционал департамента анализа и управления рисками. В статье приведен вариант стратегии управления операционными рисками при объединении нескольких коммерческих банков, а также 2перечислены этапы определения ключевых индикаторов операционных рисков.
Содержание статьи.
— Рис. 1. Эволюция ...
Added: February 8, 2013
Khasyanova S. Y., Проблемы управления 2017 № 4 С. 37-44
This research is devoted to the investigation of the changes in the nature of the largest Russian banks policies regarding the control of risks and capital adequacy caused by the implementation of the new international business standards. The dynamic analysis of indicators used by banks internally for the capital adequacy assessment was performed within this ...
Added: November 27, 2017
Организация процесса работы с проблемными активами в коммерческом банке. Мониторинг кредитных рисков
Kayasheva E., Сытин Ф. М., Управление финансовыми рисками 2009 № 4(20) С. 296-302
Цель данной статьи — познакомить читателей с организацией процесса работы с проблемными активами, в т.ч. с мониторингом кредитных рисков в коммерческих банках. Будет предложена классификация и анализ основных подходов к работе с проблемными активами. Отдельно будет подробно рассмотрен мониторинг кредитных рисков для малого и среднего, а также корпоративного и розничного бизнеса.
Содержание статьи.
• Работа с проблемными ...
Added: February 8, 2013
Karminsky A. M., Investment Management and Financial Innovations 2012 Vol. 9 No. 4 P. 78-88
This article conducts a study of multiplying the credit rating agencies efforts. These opportunities are practically important in connection with implementation of the IRB approach. The author considers Russian commercial banks as one of the main examples of using proposal methods, so in addition to literature overview the paper includes review of the Russian banking ...
Added: March 10, 2013
Nazarova V., Карпова Д. А., Научный журнал НИУ ИТМО. Серия: Экономика и экологический менеджмент 2014 № (17) С. 415-435
Investments in real assets are one of the most important parts of company’s growth. As such, choosing projects company can afford to pay for becomes a serious problem. Investment project evaluation is the most important step in the process of decision-making. Long-term projects often have the biggest impact on company’s growth and require a lot ...
Added: January 3, 2015
Rozanova N. M., Мировая экономика и международные отношения 2017 Т. 61 № 1 С. 78-87
The article deals with risk management, risk culture, business-models and their trends in modern banking that have been evident after the global financial crisis of 2007-09. The vast experiences and deep investigations in the roots of banking risks and banks’ behavior patterns are provided on the basis of thorough analysis in the sphere of the ...
Added: January 13, 2017
Kapustina N.V., Kuznetsov Y. V., Kryukova O. G. et al., Taylor & Francis, 2018
Due to the need to reindustrialize the domestic industry at the post-industrial stage of development, it has become necessary to implement megaprojects aiming at the qualitative makeover of the national economy. The purpose of this paper is to develop an industrial megaproject risk management model and methodological support based on a comparative analysis of existing ...
Added: December 28, 2018
Brodetskiy G., Проблемы анализа рисков 2012 № 1 С. 42-48
Представлены процедуры максимизации ожидаемой выручки при обслуживании заказов в звеньях цепей поставок с учетом рисков потерь части дохода. Они впервые обсуждаются применительно к моделям, которые позволяют учитывать формат схемы непрерывных процентов. Обоснованы возможности использования, как приближенного подхода, так и традиционного формата оптимального правила теории сетей обслуживания для оптимизации указанных моделей. ...
Added: November 20, 2012
Гаврилова С. С., Евстафьева И. И., Makarova V. A. et al., М. : Юрайт, 2019
This book is written by teachers from leading Russian economic schools, and characterized not only by a high-quality presentation of theoretical material, but also by an original workshop with a large number of practical tasks and cases. The publication discusses the basics of organizing financial analysis, methods for assessing the financial condition and creditworthiness of an ...
Added: April 9, 2021
Permyakova T. M., Мишланова С. Л., В кн. : Стереотипность и творчество в тексте. Вып. 18.: Пермь : Пермский государственный национальный исследовательский университет, 2014. С. 302-311.
The paper presents the literature overview on risk communication in three perspectives. Firstly, it states the significance of risk communication studies as interdisciplinary research; secondly, it describes the issues of health risk communication investifation; and thirdly, it covers multilingual solutions for risk communication problems. ...
Added: September 30, 2014
Vaisblat B. I., Мишарин С., Экономический анализ: теория и практика 2009 № 17 С. 20-22
Актуальность статьи напрямую связана с развитием мирового финансового кризиса, ухудшением конъюнктуры экономики, нехваткой ликвидности и увеличением числа проблемных банков, являющихся неотъемлемой частью банковской системы и обеспечивающих платежи и расчеты между организациями. В текущих условиях банки, борясь за средства клиентов, предлагают юридическим лицам открывать депозитные вклады, например в виде неснижаемого остатка на расчетном счете. Однако предприятия ...
Added: February 11, 2013
Switzerland : Springer, 2020
This book constitutes the revised and extended papers of the First International Conference on Innovations in Digital Economy, SPBU IDE 2019, held in St. Petersburg, Russia, in October 2019.
The 8 papers presented were thoroughly reviewed and selected for publication from 78 submissions. The papers are organized according the following topical sections: economic efficiency and social consequences ...
Added: October 9, 2020
Microfoundations of Value Creation in Bank Risk Taking: Exploring the Effects of Gender and Training
D'Amato A., Festa G., Biscotti A. M. et al., IEEE Transactions on Engineering Management 2023 P. 1-15
In the banking literature, investigating banking risk and its determinants is a key topic, especially since the global financial crisis that emerged from 2007. However, it seems that scientific research in this field has so far focused its attention mainly on the macro determinants of banking risk. Using a sample of Italian banks over the ...
Added: November 27, 2023
Shvets S. K., Вестник Российской академии естественных наук 2013 № 4 С. 149-156
We research the problem of risk diagnostics at a ship-building company. The procedures os classification, identification, mapping and cataloguing risks are considered. An algorithm of risk diagnostics considering specific features of a ship-building company is offered. ...
Added: March 9, 2014
Avdoshin S. M., Savelieva A., Информационные технологии 2012 № 5 С. 58-62
In this paper we propose a new approach to teaching practical information security in higher school based on case studies. We justify its place in information security curriculum by providing an example from our experience of using the approach for BSc and MSc students of Higher School of Economics in the courses on "Technical and ...
Added: September 7, 2012
Bilinkis (Stavenko) J., Gromoff A., Качество. Инновации. Образование 2012 № 7 С. 80-87
The article includes an example of a system approach to managing operational risk in the procurement process. According this approach, 4 interrelated subsystems were identified: beliefs, constraints, control and monitoring. Therefore the operational risk management is a Meta process embedded into business processes and set requirements to the above subsystems. ...
Added: December 13, 2012
Avdoshin S. M., Pesotskaya E. Y., Информационные технологии 2008 № 11 С. 13-18
Implementation of IT and program projects seems to be very complicated and taught process, associated with many uncertainties and risks. Sure, this does not mean the rejection of such projects, supposed the more responsibility for the decision making process of new information technologies implementation. To manage various problems which face project managers, it makes sense ...
Added: October 3, 2012