Ensuring of gas company’s business development stability through portfolio risk management
Authors:
About authors
- Saint Petersburg State Mining Institute (Technical University)
Abstract
Crisis of 2008-2009 influenced on the stability of Russian companies. In this connection the problem of business development stability mechanism’s creation became very actual.In the article there is represented the model of gas company’s business development stability mechanism, that is based on the export business-process’ portfolio risk management. This model is based on the theory of portfolio investments and process and risk-management. The aim of the model is to give the instrument of gas company’s export business processes optimization to managers with the idea to reach certain level of the income for the stakeholders with the minimum level of the risk.
Область исследования:
(Archived) Economics and management
Funding:
None
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