• A
  • A
  • A
  • АБВ
  • АБВ
  • АБВ
  • A
  • A
  • A
  • A
  • A
Обычная версия сайта
  • RU
  • EN
  • HSE University
  • Publications
  • Book chapter
  • Ключевые показатели эффективности при оценке эффективности всей системы корпоративного риск менеджмента
  • RU
  • EN
Расширенный поиск
Высшая школа экономики
Национальный исследовательский университет
Priority areas
  • business informatics
  • economics
  • engineering science
  • humanitarian
  • IT and mathematics
  • law
  • management
  • mathematics
  • sociology
  • state and public administration
by year
  • 2027
  • 2026
  • 2025
  • 2024
  • 2023
  • 2022
  • 2021
  • 2020
  • 2019
  • 2018
  • 2017
  • 2016
  • 2015
  • 2014
  • 2013
  • 2012
  • 2011
  • 2010
  • 2009
  • 2008
  • 2007
  • 2006
  • 2005
  • 2004
  • 2003
  • 2002
  • 2001
  • 2000
  • 1999
  • 1998
  • 1997
  • 1996
  • 1995
  • 1994
  • 1993
  • 1992
  • 1991
  • 1990
  • 1989
  • 1988
  • 1987
  • 1986
  • 1985
  • 1984
  • 1983
  • 1982
  • 1981
  • 1980
  • 1979
  • 1978
  • 1977
  • 1976
  • 1975
  • 1974
  • 1973
  • 1972
  • 1971
  • 1970
  • 1969
  • 1968
  • 1967
  • 1966
  • 1965
  • 1964
  • 1963
  • 1958
  • More
Subject
News
May 12, 2026
‘Any Real-Economy Company Can Use Our Products
The HSE Centre for Financial Research and Data Analytics combines fundamental and applied work, including in areas unique to Russia such as the connection between sentiment in the media and social networks and financial markets. The HSE News Service spoke with the centre’s director, Professor Tamara Teplova, about its work.
May 7, 2026
Researchers Find More Effective Approach to Revealing Majorana Zero Modes in Superconductors
An international team of researchers, including physicists from HSE MIEM, has demonstrated that nonmagnetic impurities can help more accurately reveal Majorana zero modes—quantum states considered promising building blocks for quantum computing. The researchers found that these impurities shift the energy levels that typically obscure the Majorana signal, while leaving the mode itself largely unaffected, thereby making its spectral peak more distinct. The study has been published in Research.
May 6, 2026
The Future of Cardiogenetics Lies in Artificial Intelligence
Researchers from the AI and Digital Science Institute at the HSE Faculty of Computer Science have developed a program capable of analysing regions of the human genome that were previously inaccessible for accurate interpretation in genetic testing. The program adapts large generative AI (GenAI) models for cardiogenetics to predict how specific mutations affect the function of individual genes.

 

Have you spotted a typo?
Highlight it, click Ctrl+Enter and send us a message. Thank you for your help!

Publications
  • Books
  • Articles
  • Chapters of books
  • Working papers
  • Report a publication
  • Research at HSE

?

Ключевые показатели эффективности при оценке эффективности всей системы корпоративного риск менеджмента

Гл. 3.1. С. 65–83.
Makarova V. A.
In this chapter we propose a model assessing the effectiveness of corporate risk management system of indicators, indirectly affecting all accounting data. The proposed evaluation model uses a value-oriented metrics, assessment of plausibility, evaluating the appropriateness of costs, which generally reduces the negative impact of "investment myopia" and at the same time to evaluate the effectiveness of existing risk management model.
Language: Russian
Full text
Keywords: risk managementключевые показатели эффективностириск-менеджментkey performance indicatorsplausibility assessment of statementsоценка правдоподобности отчетности

In book

Актуальные вопросы оценки эффективности корпоративного риск менеджмента. Часть вторая. Выбор ключевых показателей и минимизация последствий шорт-термизма
Актуальные вопросы оценки эффективности корпоративного риск менеджмента. Часть вторая. Выбор ключевых показателей и минимизация последствий шорт-термизма
Makarova V. A., Boguslavskaya S. B., Татаринцева С. Г., Сацук Т. П. Ч. 2: Выбор ключевых показателей и минимизация последствий шорт-термизма. , СПб.: Федеральное государственное автономное образовательное учреждение высшего образования "Санкт-Петербургский политехнический университет Петра Великого", 2016.
Similar publications
Риск-менеджмент
Lavrenchuk E. N., Plyusnina L. M., Мышкина У. А., Пермь: ОТ и ДО, 2025.
В учебном пособии дается характеристика риск-менеджмента и подходы к управлению рисками. Представлены российские и зарубежные подходы к управлению рисками, а также рассмотрена возможность увязки методов управленческого учета и "менеджериальных" методов воздействия на величину рисков и финансовые результаты деятельности предприятия. Пособие содержит практическую часть для изучения предложенных материалов. ...
Added: March 21, 2026
Developing methods for assessing the impact of digital innovations on the economic efficiency of enterprises: methodology for measuring ROI of digital projects
Pshichenko D., Бюллетень науки и практики 2024 Vol. 10 No. 10 P. 244–251
Added: March 10, 2025
Study of artificial intelligence models for big data analysis in project management
Pshichenko D., International Journal of Humanities and Natural Sciences 2024 Vol. 8-3(95) P. 180–185
This study explores the application of artificial intelligence (AI) and machine learning (ML) models for big data analysis in project management. By leveraging specific ML algorithms such as decision trees, random forests, support vector machines, neural networks, kmeans clustering, gradient boosting, and natural language processing, project management practices are significantly enhanced. These technologies improve decision-making, ...
Added: March 10, 2025
Применение генеративного искусственного интеллекта для управления рисками
Белаш В. А., Сохранных С. А., Plaksin M. A., В кн.: Интеллектуальные информационные системы: теория и практика. Сборник научных статей по материалам V Международной конференции (Курск, 19–21 ноября 2024 года).: Курск: Курский государственный университет, 2024. С. 46–50.
The article discusses the prospects for implementing generative artificial intelligence in project management systems to improve the efficiency of risk identification and planning. Using the example of using the j-method with publicly available chatbots in conducting an expert assessment, it demonstrates how modern technologies can optimize the processes of analysis and forecasting, using Crawford's methods ...
Added: February 17, 2025
J-методика – методика проведения групповой экспертизы с помощью генеративного искусственного интеллекта
Джейранян А. Д., Plaksin M. A., В кн.: Интеллектуальные информационные системы: теория и практика. Сборник научных статей по материалам V Международной конференции (Курск, 19–21 ноября 2024 года).: Курск: Курский государственный университет, 2024. С. 7–12.
The paper describes a method for using generative artificial intelligence to organize group examinations. A set of instructions has been formed that can be used for this purpose. The application of the method in the field of risk management (in programming and economics) is demonstrated. Several popular generative chatbots are compared. The correct application of ...
Added: February 17, 2025
Application of generative artificial intelligence for risk management of software projects
Dzheiranian A. D., Plaksin M. A., Proceedings of the Institute for System Programming of the RAS 2024 Vol. 36 No. 2 P. 73–82
The article highlights an innovative approach to risk management in software projects using generative artificial intelligence. It describes a methodology that involves the use of publicly available chatbots to identify, analyze, and prioritize risks. The Crawford method is used as a basis for risk identification. The authors propose specific formulations of requests to chatbots (instructs, prompts) that facilitate ...
Added: February 17, 2025
Современные аспекты развития взаимного страхования
Калайда С. А., Tarasova J., Белова Л. А., Экономическая безопасность 2024 Т. 7 № 10 С. 2485–2500
The article examines the features of modern mutual insurance, which is developing under the influence of digitalization and economic convergence. The mutual insurance market is part of the insurance market, therefore, in the interests of effective long-term development of the entire national insurance and risk management system, especially in the context of geopolitical risks and ...
Added: November 7, 2024
Improving the industrial safety management system at enterprises with chemically hazardous sites
Yemelin P., Kudryavtsev S., Natalya K. Yemelina, JOURNAL OF SAFETY SCIENCE AND RESILIENCE 2024 Vol. 5 No. 4 P. 432–448
This study focuses on developing an industrial and occupational safety management system for enterprises that contain chemically hazardous sites. The methodology, based on an expert approach, enabled the authors to design the structure of the risk management system at such enterprises. It also facilitated the identification of clusters and their descriptors, along with their roles ...
Added: October 11, 2024
Loan Portfolio Dataset From MakerDAO Blockchain Project
Chaleenutthawut Y., Davydov V., Evdokimov M. et al., IEEE Access 2024 Vol. 12 P. 24843–24854
Decentralized finance (DeFi) offers a range of financial instruments and services that leverage the capabilities of web3 technology. Maker protocol, which enables users to obtain loans backed by cryptocurrencies, is one of them. Unlike traditional banks, Maker’s data is transparently recorded on the Ethereum blockchain. In this research paper, we focus on analyzing the lending ...
Added: September 4, 2024
Контрольно-надзорная и разрешительная деятельность в Российской Федерации. Вектор развития до 2030 года. Аналитический доклад — 2023
Plaksin S., Абузярова И. А., Alimpeev D. et al., М.: Издательский дом НИУ ВШЭ, 2024.
Доклад посвящен наиболее перспективным направлениям дальнейшей реформы контрольной (надзорной) деятельности. В их число входит повышение результативности и эффективности контроля, развитие систем управления рисками и профилактики, совершенствование регуляторной политики (через риск-ориентированное регулирование, систематизацию и приоритезацию обязательных требований), а также цифровая трансформация контрольной (надзорной) деятельности.  Доклад подготовлен по заказу Комитета РСПП по разрешительной и контрольнонадзорной деятельности Институтом государственного и ...
Added: March 1, 2024
Expecting the Unexpected: Entropy and Multifractal Systems in Finance
Orlando G., Lampart M., Entropy 2023 Vol. 25 No. 11 Article 1527
Entropy serves as a measure of chaos in systems by representing the average rate of information loss about a phase point’s position on the attractor. When dealing with a multifractal system, a single exponent cannot fully describe its dynamics, necessitating a continuous spectrum of exponents, known as the singularity spectrum. From an investor’s point of ...
Added: February 22, 2024
Next Generation Roadmapping: Establishing Technology and Innovation Pathways Towards Sustainable Value
Switzerland: Springer, 2023.
This book comprises 12 chapters, covering a range of practical and conceptual aspects of roadmapping, including strategic alignment in organisations, analysis methods and techniques, together with a series of technology roadmapping case studies in the energy sector. The following three chapters consider aspects of organisation alignment, including horizontal and vertical system dependences and synchronisation, how roadmapping ...
Added: December 27, 2023
Стратегическое планирование в условиях неопределенности: адаптивность ради устойчивости
Jakobson L. I., Журнал Новой экономической ассоциации 2023 Т. 4 № 61 С. 230–236
When designing both governmental and business strategic plans nowadays, an overwhelming uncertainty about the future state of natural and social environment needs to be considered. Businesses are gradually shaping approaches to solve this problem and revising the known ideas of risk management. At the government level, however, the same problem, which becomes even more challenging, urgent and demanding, ...
Added: December 11, 2023
Международная помощь странам Ближнего Востока и Северной Африки: управляя рисками: доклад № 62/2020
Vladimir B., М.: НП РСМД, 2020.
В докладе рассмотрены особенности оказания международной помощи арабским странам Ближнего Востока и Северной Африки (БВСА) через призму управления рисками. Апробирована оригинальная типология рисков, сопряженных с предоставлением внешней помощи. Раскрыты основные эндогенные и экзогенные риск-факторы, предопределявшие специфику международной помощи странам БВСА в 2010- е гг. – после «арабского пробуждения». С использованием доступных статистических данных составлена региональная ...
Added: September 13, 2023
Особенности применения рыночных стимулов в российских корпорациях с государственным участием
Agamirova M., Журнал институциональных исследований 2023 Т. 15 № 1 С. 89–99
The article discusses the possible negative effects of the implementation of the market motivation methods in the public sector and management systems of state corporations. In particular, we focus on the introduction of performance assessments of civil servants which are based on a number of quantitative indicators. There is a belief that high-powered incentives can ...
Added: July 24, 2023
Подходы к регулированию отношений в сфере разработки и применения технологий искусственного интеллекта: особенности и практическая применимость
Erahtina O. S., Journal of Digital Technologies and Law 2023 Т. 1 № 2 С. 421–437
Objective: to review the modern scientific approaches to regulating relations in the sphere of using the artificial intelligence technologies; to reveal the main features and limitations of using the risk-oriented and technological approaches in order to determine the directions of their further development. Methods: the methodological basis of the research is a set of scientific cognition ...
Added: June 23, 2023
Оптимизация отношения стоимость / эффективность в управлении рисками при разработке информационных систем
Кузнецова Д. Ю., Plaksin M. A., Информационное общество 2023 № 1 С. 5–17
The paper is devoted to the issues of risk management. In risk management, each risk is characterized by “the magnitude of risk.” For each risk, two plans can be assigned: a risk prevention plan and a risk response plan. Each of these plans is costly to implement. Several different plans may be proposed for the same ...
Added: April 7, 2023
Динамическая модель Нельсона–Зигеля для оценки рыночного риска облигаций: практические аспекты имплементации
Makushkin M., Lapshin V. A., Прикладная эконометрика 2023 Т. 69 С. 5–27
The article is devoted to Value-at-Risk estimation of bonds based on Dynamic Nelson–Siegel model (DNS). Instead of dealing with estimation of future interest rates and their volatiles, DNS model forecasts several unobservable shape parameters of the yield curve. We illustrate that for practical purposes one factor model is enough to correctly estimate bond VaR — ...
Added: March 18, 2023
  • About
  • About
  • Key Figures & Facts
  • Sustainability at HSE University
  • Faculties & Departments
  • International Partnerships
  • Faculty & Staff
  • HSE Buildings
  • HSE University for Persons with Disabilities
  • Public Enquiries
  • Studies
  • Admissions
  • Programme Catalogue
  • Undergraduate
  • Graduate
  • Exchange Programmes
  • Summer University
  • Summer Schools
  • Semester in Moscow
  • Business Internship
  • Research
  • International Laboratories
  • Research Centres
  • Research Projects
  • Monitoring Studies
  • Conferences & Seminars
  • Academic Jobs
  • Yasin (April) International Academic Conference on Economic and Social Development
  • Media & Resources
  • Publications by staff
  • HSE Journals
  • Publishing House
  • iq.hse.ru: commentary by HSE experts
  • Library
  • Economic & Social Data Archive
  • Video
  • HSE Repository of Socio-Economic Information
  • HSE1993–2026
  • Contacts
  • Copyright
  • Privacy Policy
  • Site Map
Edit