Please use this identifier to cite or link to this item:
http://essuir.sumdu.edu.ua/handle/123456789/40635
Or use following links to share this resource in social networks:
Tweet
Recommend this item
Title | Systemic Approach to Estimation of Financial Risks |
Authors |
Kuznietsova, N.V.
Bidyuk, P.I. |
ORCID | |
Keywords |
математичне моделювання математическое моделирование mathematical modeling фінансові ризики финансовые риски financial risks |
Type | Conference Papers |
Date of Issue | 2015 |
URI | http://essuir.sumdu.edu.ua/handle/123456789/40635 |
Publisher | Sumy State University |
License | Copyright not evaluated |
Citation | Kuznietsova, N.V. Systemic Approach to Estimation of Financial Risks [Текст] / N.V. Kuznietsova, P.I. Bidyuk // Інформатика, математика, автоматика : матеріали та програма науково-технічної конференції, м. Суми, 20-25 квітня 2015 р. / Відп. за вип. С.І. Проценко. — Суми : СумДУ, 2015. — С. 46-47. |
Abstract |
Modern approaches to risk estimation, forecasting and management are
based upon intensive application of mathematical modeling, estimation
theory, application of Bayesian statistics, simulation, decision making
methods and techniques and other approaches [1]. One of the most suitable
instrumentations for risk analysis and management create informational
decision support systems (DSS) that are widely used for solving different
problems from the realms of forecasting, control, medical and engineering
diagnostics, planning and management. |
Appears in Collections: |
Наукові видання (ЕлІТ) |
Views

1

1

1

1

102553

5317

1

29627

1

570

2

1

4352965

760819

7186571

13963109

5319
Downloads

1

7186571

1

7

1

1

1

1

5

1

1519360

1

7186571

13963109

1
Files
File | Size | Format | Downloads |
---|---|---|---|
kuznietsova.pdf | 359.17 kB | Adobe PDF | 29855632 |
Items in DSpace are protected by copyright, with all rights reserved, unless otherwise indicated.