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Тенденции развития паевых инвестиционных фондов в условиях современного кризиса
С. 103–106.
Захарова С. Г., Kornev D.
In book
Н. Новгород: НИМБ, 2010.
Bardin L., Юридический мир 2026 № 8 (356) С. 34–37
This article analyzes certain legislative provisions and scientific publications related to addressing risks associated with providing qualified legal assistance to organizations. Proposals are made for measures to prevent risks for both organizations and individuals providing legal assistance. A proposal is made regarding the need for a number of legislative amendments to minimize these risks. ...
Added: August 12, 2026
Sizykh N., Sizykh D., , in: 2025 18th International Conference on Management of Large-Scale System Development (MLSD).: IEEE, 2025. P. 1–4.
This paper examines methods for analyzing structural changes in investment portfolios and proposes new approaches for assessing turnover and the effectiveness of their rebalancing. The study aims to systematize and adapt statistical indicators of structural shifts for analyzing the dynamics of securities portfolios, as well as to develop methodologies for assessing the proportion of changes ...
Added: February 1, 2026
Бояров Е. Н., Абрамова С. В., Шитов Э. Н. et al., В кн.: Приморские зори - 2024: Международные научные чтения: сборник научных трудов, Владивосток, 18–20 апреля 2024 года.: Владивосток: Дальневосточный федеральный университет, 2024. С. 166–170.
В статье проведен анализ необходимости и эффективности применения современных средств, в частности искусственного интеллекта и больших данных, в процессах моделирования управления производственными и профессиональными рисками. Рассматривается, каким образом интеграция передовых технологических решений способствует повышению точности прогнозирования потенциальных рисков, а также обеспечивает оптимизацию ресурсов и процессов управления рисками в организациях. Освещаются основные этапы построения моделей управления ...
Added: September 24, 2025
Lapteva A., Законодательство 2025 № 6 С. 11–17
The purpose of this article is to research the problems associated with the risky nature of investments.
The author analyzes the concept of "risk" and its features in relation to investment activities. In particular, it is suggested the definition if the investment risk as the possibility of both favorable and unfavorable property consequences, as a result ...
Added: August 8, 2025
Nazarova V., Churakova I., Гарбар А. А. et al., Вестник Московского университета. Серия 6: Экономика 2024 Т. 59 № 6 С. 52–76
The paper examines the construction of an optimal portfolio based on an ESG (environmental, social and governance) rating. In the paper, the authors answer the question of how the ESG rating indicator affects the risk, return and Sharpe ratio of portfolios. Based on literature review, the authors conclude that there is an ambiguous relationship between ESG ratings, and ...
Added: June 3, 2025
Петрановский И. А., Вестник экономического правосудия Российской Федерации 2025 № 4 С. 127–154
Статья посвящена проблеме распределения риска исполнения ненадлежащему лицу, когда должник исполняет свое обязательство не кредитору, а третьему лицу, выдающему себя за кредитора. Прежде всего исследуются сложные случаи распределения соответствующего риска, когда ни должник, ни кредитор «не виноваты» в том, что должник исполняет третьему лицу, обладающему статусом видимого кредитора, а также когда и должник, и кредитор в ...
Added: April 14, 2025
Maron A., Марон М. А., Казьмина А. А., Бизнес-информатика 2024 Т. 18 № 2 С. 67–77
This article is devoted to the problem of theoretical and information support for decision-making in strategic management of raw material procurement processes. The study is timely, because there is currently significant volatility in prices for raw materials. This poses very difficult challenges for managers. Finding solutions is one of the most important areas of business ...
Added: October 4, 2024
Anlló H., Bavard S., Benmarrakchi F. et al., Nature Human Behaviour 2024 Vol. 6 No. 8 P. 1554–1567
Recent evidence indicates that reward value encoding in humans is highly context dependent, leading to suboptimal decisions in some cases, but whether this computational constraint on valuation is a shared feature of human cognition remains unknown. Here we studied the behaviour of n = 561 individuals from 11 countries of markedly different socioeconomic and cultural makeup. Our findings ...
Added: July 17, 2024
Белов М. Д., Социология власти 2024 Т. 36 № 1 С. 29–43
This article is devoted to the consideration of rationality as one of the key characteristics of Michel Foucault’s concept of governmentality and related contradictions both inside and outside Foucauldian theory. Using risk theory, the author explores the possibility of the existence of multiple rationality in governmentality and offers a solution to the contradiction within Foucauldian ...
Added: June 16, 2024
Shults V., Чернов И. В., Кульба В. В. et al., Национальная безопасность / nota bene 2023 № 5 С. 36–61
The article deals with the study of methodological problems of increasing the efficiency of planning and management of ensuring the national security of the Russian Federation in context of uncertainty and risk. The results of the analysis of the main features of national security as a subject area and a complex object of public administration ...
Added: January 17, 2024
Коновалова П. В., Филатов А. Ю., В кн.: Системное моделирование социально-экономических процессов: труды 46-ой международной научной школы-семинара, г. Уфа, 9 - 15 октября 2023 г.: Воронеж: Истоки, 2024. С. 7–8.
Added: January 10, 2024
Nazarova V., Лещев С. И., Финансовый журнал 2023 Т. 15 № 1 С. 58–73
In this paper, the momentum effect is viewed as a price anomaly whereby portfolios of assets of the same return class exhibit a systematic outperformance in profit generation relative to a given benchmark (e.g., a market index). The study contributes to a better understanding of the momentum effect in the Russian stock market. Using data ...
Added: March 7, 2023
Vatletsov S., Юридическая наука и практика: Вестник Нижегородской академии МВД России 2019 № 2 (46) С. 10–15
The article deals with an attempt of defining and analyzing the phenomenon of hypernormalization of the language of law as a prevailing of normalized, overclichéd abstract language elements in the speech of lawyers. The author argues that hypernormalization is predetermined with the previous stage of the language development - the Soviet period. It misconceptionalizes and ...
Added: March 2, 2023
Kalmychkova E. N., В кн.: Ежегодная научная конференция Ломоносовские чтения-2018 Секция экономических наук «Цифровая экономика: Человек, технологии, институты». Сборник тезисов выступлений.: М.: Экономический факультет МГУ им. М.В. Ломоносова, 2018. С. 29–37.
Added: July 28, 2022
Галанов В. А., Galanova A., Научные исследования и разработки. Экономика фирмы 2021 № 4(37) С. 55–62
Joint-stock company is the pinnacle of development of organizational forms of functioning of private capital. Having emerged at a certain stage in the development of the market, a joint-stock company has become the leading form
of concentration of private capital and the main source of their further growth including the form of citizens’ money savings. The expansion of the ...
Added: January 4, 2022
Gavrilov K. A., Бутынко М. В., Социологический журнал 2021 Т. 27 № 4 С. 146–168
The article presents the results of using the “psychometric paradigm” methodology (P. Slovic, B. Fischhoff, S. Lichtenstein and others) to study the perception of cyber risks and compare them with other risks designated as “traditional”. The respondents in the online survey were presented with seven cyber risks (from computer games to hacker attacks and viruses) and 65 ...
Added: December 13, 2021
Impact of induced moods, sensation seeking, and emotional contagion on economic decisions under risk
Efimov K., Ntoumanis I., Kuskova O. et al., Frontiers in Psychology 2022 Vol. 12 Article 796016
In addition to probabilities of monetary gains and losses, personality traits, socio-economic factors, and specific contexts such as emotions and framing influence financial risk taking. Here, we investigated the effects of joyful, neutral, and sad mood states on participants’ risk-taking behaviour in a simple task with safe and risky options. We also analysed the effect ...
Added: December 11, 2021
Gavrilov K. A., Journal of Risk Research 2022 Vol. 25 No. 3 P. 285–302
There is a growing body of research that uses different content analysis techniques to study risk and related issues. In this article, we focused on the question of how analysis of textual data relates to individual judgments, specifically responsibility ascriptions after the case of a terrorist attack. Our methodological goal was to assess the agreement between the results ...
Added: October 30, 2021
Lisanyuk E., Перова Н. В., Вестник Томского государственного университета. Философия. Социология. Политология 2021 № 59 С. 278–289
Статья состоит из вступительной статьи к переводу и перевода статьи Г. Джонстоуна (1920–2000), американского философа, оказавшего влияние на развитие теории аргументации в России. Во вступительной статье охарактеризован вклад Р. Джонстоуна в теорию аргументации и обоснована актуальность его идей для ее современнного этапа, а также подчеркивается особая роль некоторых его идей для отечественной теории аргументации. По Джонстоуну, ...
Added: August 20, 2021
Иванова (Юхимова) Я. Я., Ващенко Т. В., Kosov M., Финансовая жизнь 2018 № 3 С. 80–84
this article considers the problems of financing operational activities and bankruptcy of Russian companies related to their financial instability in recent years, as well as modern methods of financing trade transactions that can help minimize the risks of bankruptcy associated with the insolvency of counterparties. ...
Added: August 18, 2021