MANAGEMENT OF FINANCIAL RISKS DURING THE CRISIS

Elesina Karina Dmitrievna
Saint-Petersburg State University of Economics
1st year student of Master programm

Abstract
This article is devoted to a question of the financial risks management within the crisis in Russia, which began at the end of 2013 and proceeding to the present (the beginning of 2016). The author allocates the most actual risks for corporate and bank sectors, explains need of their management and offers ways on their minimization.

Article reference:
Management of financial risks during the crisis // Economics and innovations management. 2016. № 3 [Electronic journal]. URL: https://ekonomika.snauka.ru/en/2016/03/10922

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