Please use this identifier to cite or link to this item: https://www.um.edu.mt/library/oar/handle/123456789/30844
Title: Tools of financial management of reputational risks
Authors: Grafova, Tatiana Olegovna
Skorev, Michail Michailovich
Andreeva, Larisa Yurievna
Kirischeeva, Irina Rafaelevna
Keywords: Risk management
Financial institutions -- Risk management
Financial institutions -- Management
Banks and banking, International
Financial services industry
Accounting firms
Issue Date: 2017
Publisher: University of Piraeus. International Strategic Management Association
Citation: Grafova, T. O., Skorev, M. M., Andreeva, L. Y., & Kirischeeva, I. R. (2017). Tools of financial management of reputational risks. European Research Studies Journal, 20(3B), 280-299.
Abstract: This study is devoted to the issues of financial management of reputational risks. The authors consider the tools for internal and external factors monitoring and analysis; identify and classify the company’s stakeholders according to their influence degree; suggest the methods of determining external and internal factors influence on the company’s business reputation. Besides they suggest using aggregated (net assets) and disaggregated (net liabilities) indicators of property obtained according to a zero-balance sheet as a criterion for assessing changes in the company’s goodwill.
URI: https://www.um.edu.mt/library/oar//handle/123456789/30844
ISSN: 11082976
Appears in Collections:European Research Studies Journal, Volume 20, Issue 3, Part B

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