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THE CHOICE OF METHODS OF RISK ANALYSIS TO IMPROVE THE INFORMATION CONTENT AND QUALITY OF ECONOMIC-MATHEMATICAL MODEL OF THE INVESTMENT PROJECT
Iskhakov Maksim Igorevich1, Shekalin Aleksandr Nikolaevich2, Gorbunov Valeriy Nikolaevich3
1Penza state university of architecture and construction, student
2ООО aMAKS, candidate of economics, assistant director
3Penza state university of architecture and construction, associate professor of the Department «Economics, organization and management of production»
1Penza state university of architecture and construction, student
2ООО aMAKS, candidate of economics, assistant director
3Penza state university of architecture and construction, associate professor of the Department «Economics, organization and management of production»
Abstract
The article examines the use of various methods of risk analysis to improve the information content and quality of economic-mathematical model of the investment project. The characteristics of methods of risk analysis for compliance with the requirements adopted by the aggregate and the possibility of predicting the effectiveness of the implementation of the investment project.
Keywords: investment project, Risk-management, uncertainty
Category: 08.00.00 Economics
Article reference:
The choice of methods of risk analysis to improve the information content and quality of economic-mathematical model of the investment project // Modern scientific researches and innovations. 2015. № 1. P. 2 [Electronic journal]. URL: https://web.snauka.ru/en/issues/2015/01/45971

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