NEW APPROACH TO A FINANCIAL RISK ANALYSIS

Elesina Karina Dmitrievna
Saint-Petersburg State University of Economics

Abstract
This article is devoted to a question of studying of the key factors influencing the size of a financial risk. The author allocates 4 groups of factors which are the most essential. These factors are need to be analyzed in details for the most objective vision of the size and rate of influence of financial risk.

Article reference:
New approach to a financial risk analysis // Economics and innovations management. 2016. № 6 [Electronic journal]. URL: https://ekonomika.snauka.ru/en/2016/06/11455

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