Main Article Content
Article Details
FERIDUN M.: Risk management in banks and other financial institutions: lessons from the crash of long-term capital management (LTCM), Banks and Bank Systems, issue 3, Sumy, 2006, pp. 132-141.
HALAIMOVA A.: Features of methods of control over innovative risks, «Activization and increase of efficiency of investment processes in Ukraine», Days of the theory and practice of investment, the electronic carrier, 2011: http://masters.donntu.edu.ua/2011/iem/halaimova/library/tez4.htm.
KOLOVOROTNA G.: Critical analysis of essence of categories «Financial risk» and «Management of financial risk», Management of Risk, issue 2 (123), 2012, pp. 167-169.
KYSHAKEVYCH YU.: Usage of variance-covariance model for portfolio VaR calculation, Scientific messenger of NLTU of Ukraine, issue 18.10, 2008, pp. 297-301.
PARTYN G., BURBA O.: Financial risks of the company and how they neutralize, Scientific messenger of NLTU of Ukraine, issue 20.9, 2010, pp. 215-221.
PASERBA M.: Need for the development control system in economic risk trading companies, Scientific Messenger of NLTU of Ukraine, issue 2.10, 2010, pp. 200-202.
STRELTSOV A.: Management of financial risks in system of strategic management of financial safety of the enterprise, The Messenger of DITB, issue 15, 2011, pp. 84-86.
STADNYK I.: The financial risks of enterprises and ways of their neutralizing, Magisterium. Economic Studiosissue 44, 2011, pp. 75-78.
VINNYTSYA I., SHOKALO O.: Management of financial risks of the enterprise, Economic space, issue 942, 2010, pp. 168-173.
ZHURAVKA F.: The methodological going near the management of enterprise financial risks, Messenger of the Ukrainian Academy of Banking, issue 2 (21), 2006, pp. 42-47.