Actual problems of innovative economy

The journal is added to the the List of printed scientific professional publications in the field of economic Sciences by the Ministry of education and science of Ukraine from 11.07.2016 No. 820
The journal is indexed in the International Scientific Center of Index Copernicus International

Methods of financing the enterprise risk

УДК 005.21:330

ГІРЖЕВА О. М.,
кандидат економічних наук, доцент,
БІРЧЕНКО Н. О.,
старший викладач
Харківський національний технічний університет
сільського господарства імені Петра Василенка

Abstract

The article reveals the role of risk in the activity of enterprises, the necessity of the risk management on enterprises is substantiated. There have been generalized risk management methods (avoidance, acceptance, transfer and risk reduction). The main methods of financing the risk (such as the preliminary, current and next financing) are formulated, their essence and conditions of application are disclosed. Sources of funding for risk management measures are disclosed. The use of complex approach in risk financing of the enterprise, the basis of which is the Houston method, is proposed. It is emphasized that the cost of an enterprise is the main criterion for making a decision on the appropriateness of using different methods of financing the risk.

Keywords: risk, risk management, risk management methods, risk financing, risk financing methods.

  1. Vitlinskyi V. V., & Velykoivanenko H. I. (2004). Ryzykolohiia v ekonomitsi ta pidpryiemnytstvi [Riskology in economics and entrepreneurship]. Kyiv : KNEU, p. 480 [in Ukrainian].
  2. Hranaturov V. M., & Shevchuk O. B. (2000). Ryzyky pidpryiemnytskoi diialnosti: problemy analizu [Business risks: problems of an alysis]. Kyiv : Derzhavne vyd.-inf. ahentstvo «Zviazok», p. 150 [in Ukrainian].
  3. Klymenko S. M., & Dubrova O. S. (2005). Obgruntuvannia hospodarskykh rishen ta otsinka ryzykiv [Rationale of business decisions and risk assessment]. Kyiv : KNEU, p. 252 [in Ukrainian].
  4. Kriukova I. O. (2015). Naukovo-teoretychni dominanty formuvannia systemy upravlinnia finansovoiu bezpekoiu pidpryiemstv ahroprodovolchoi sfery [Scientific-theoretical formation of the dominant system of financial security agri-business sphere]. Visnyk ONU imeni I.I. Mechnykova – Bulletin of ONU named I.I. Mechnikov, Vol. 20, Issue, 2/1, pp. 62-66 [in Ukrainian].
  5. Starostina A. O., & Kravchenko V. A. (2004). Ryzyk-menedzhment: teoriia ta praktyka [Risk Management: theory and practice]. Kyiv : IVTs «Vydavnytstvo «Politekhnika»», p. 200 [in Ukrainian].
  6. Balabanov I. T. (1996). Risk-menedzhment [Risk management]. Moscow: Finansy i statistika, p. 196 [in Russian].
  1. Blank I. A. (2005). Upravlenie finansovymi riskami [Financial risk management]. Kyiv : Nika-Centr, p. 600 [in Ukrainian].
  2. Ioda Ye. V., Ioda Yu. V., Meshkova L. L., & Bolotyna Ye. M. (2002). Upravlinnia pidpryiemnytskymy ryzykamy [Business risk management]. (2d ed.). Tambov: Vyd-vo Tamb. derzh. tekhn. un-tu. p. 212 [in Russian].
  3. Lowrence W. W. Of Acceptable Risk: Science and Determination of Safety. Dos Altos: W. Kaufman C. A., 1976. p. 324 [in English].
  4. Moore P. O. The Business of Risk. Cambridge: University Press, 1983. p. 456 [in English].

The article was received 02.03.2018