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The book studies the theoretical and methodological foundations and practical aspects of ensuring the liquidity and financial stability of economic entities. Based on the results of the research, the author studies the theoretical foundations of risk management associated with the liquidity and financial stability of economic entities, the methodological foundations of ensuring liquidity and financial stability, factors affecting the liquidity and financial stability of economic entities, problems associated with ensuring the liquidity and financial stability of economic entities, and…mehr

Produktbeschreibung
The book studies the theoretical and methodological foundations and practical aspects of ensuring the liquidity and financial stability of economic entities. Based on the results of the research, the author studies the theoretical foundations of risk management associated with the liquidity and financial stability of economic entities, the methodological foundations of ensuring liquidity and financial stability, factors affecting the liquidity and financial stability of economic entities, problems associated with ensuring the liquidity and financial stability of economic entities, and scientifically substantiates the ways of ensuring the liquidity and financial stability of economic entities.It is intended for professors, specialists and researchers interested in the issues of science, independent researchers conducting scientific research, and students of advanced training courses.
Autorenporträt
Majit BAUETDINOVAssociate Professor of the Department of Finance and Financial Technologies, Tashkent State University of Economics.