Information about how to manage financial risk are made available because of the desire to show the stability and proper monitoring of the risks in order to fulfill the given economic tasks, which has a direct impact on the economic effects (financial result). Therefore the aim of article is classifies financial risk and main strategic components to manage it in order to maintain stable economic conditions.
Data udostępnienia | 8 mar 2023, 14:26:42 |
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Data mod. | 8 mar 2023, 14:26:42 |
Dostęp | Publiczny |
Aktywnych wyświetleń | 0 |