Use this url to cite publication: https://hdl.handle.net/20.500.12259/1332
Ratings as a measure of financial risk : evolution, tendencies and problems
Author(s)
Author |
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Solovjova, Irina |
Title [en_US]
Ratings as a measure of financial risk : evolution, tendencies and problems
Other Title [lt_LT]
Reitingai kaip finansinės rizikos matas : raida, tendencijos ir problemos
Is part of
Taikomoji ekonomika: sisteminiai tyrimai, 2011, t. 5, nr. 2, p. 131-141
Date Issued
Date | Issue | Start Page | End Page |
---|---|---|---|
2011 | 5(2) | 131 | 141 |
Abstract
This article deals with the history of the creation of the international rating agencies and their role in market economy. The authors have also presented their research on the methodological aspects of rating creation and factors affecting it as well as the possibilities of practical application of the acquired assessments in the risk management process.
Straipsnyje apžvelgiama tarptautinių reitingų agentūrų susikūrimo istorija bei jų vaidmuo rinkos ekonomikoje. Pateikiami reitingo nustatymo metodologiniai aspektai ir visa tai įtakojantys veiksniai bei įgytų vertinimų praktinės taikymo galimybės rizikos valdymo procese.
Type of document
type::text::journal::journal article::research article
Language
Anglų / English (en)
ISSN
1822-7996
Access Rights
Atviroji prieiga / Open Access