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dc.contributor.authorDomnikov, A.en
dc.contributor.authorKhomenko, P.en
dc.contributor.authorKhodorovsky, M.en
dc.date.accessioned2019-07-22T06:45:58Z-
dc.date.available2019-07-22T06:45:58Z-
dc.date.issued2017-
dc.identifier.citationDomnikov A. Value-based approach to managing the risks of investing in oil and gas business / A. Domnikov, P. Khomenko, M. Khodorovsky // International Journal of Sustainable Development and Planning. — 2017. — Vol. 12. — Iss. 6. — P. 1085-1095.en
dc.identifier.issn1743-7601-
dc.identifier.otherhttp://www.witpress.com/Secure/ejournals/papers/SDP120610f.pdfpdf
dc.identifier.other1good_DOI
dc.identifier.otheredc7dab4-0667-4f4c-937b-68b745369a9apure_uuid
dc.identifier.otherhttp://www.scopus.com/inward/record.url?partnerID=8YFLogxK&scp=85021301353m
dc.identifier.urihttp://elar.urfu.ru/handle/10995/75298-
dc.description.abstractDevelopment of the oil and gas business is inextricably linked to large-scale investment programs. Large-scale flow of capital funds, long duration of projects, as well as the external environment's high uncertainty for oil and gas businesses bring about the high-risk investing; and therefore, it becomes urgent to develop methodological tools for risk management issues. The authors' approach to risk management of capital investments allows an individual to estimate the risk level of an investment project on the basis of a ratings model, and to evaluate the need for capital to cover potential losses on the basis of the target level of financial stability and long-term strategy of the company. The authors' technique of RAROC (risk adjusted return on capital) analysis of investment projects allows to calculate the risk-adjusted return on investment and to carry out the selection of projects that contribute most to the creation of value and screen out those projects that destroy the company value. The results can be used by management of oil companies, investors, and analysts in financial decision-making. © 2017 WIT Press.en
dc.format.mimetypeapplication/pdfen
dc.language.isoenen
dc.publisherWITPressen
dc.rightsinfo:eu-repo/semantics/openAccessen
dc.sourceInternational Journal of Sustainable Development and Planningen
dc.subjectECONOMIC CAPITALen
dc.subjectINVESTMENT PROJECTen
dc.subjectINVESTMENT RISKSen
dc.subjectOIL AND GASCOMPANYen
dc.subjectPROBABILITY OF DEFAULTen
dc.subjectVALUE MANAGEMENTen
dc.subjectDECISION MAKINGen
dc.subjectECONOMICSen
dc.subjectINVESTMENTSen
dc.subjectRISK ASSESSMENTen
dc.subjectRISK PERCEPTIONen
dc.subjectRISKSen
dc.subjectECONOMIC CAPITALen
dc.subjectINVESTMENT PROJECTSen
dc.subjectINVESTMENT RISKSen
dc.subjectOIL AND GASCOMPANYen
dc.subjectPROBABILITY OF DEFAULTSen
dc.subjectVALUE MANAGEMENTen
dc.subjectRISK MANAGEMENTen
dc.subjectBUSINESSen
dc.subjectCAPITALen
dc.subjectDECISION MAKINGen
dc.subjectFINANCEen
dc.subjectGAS INDUSTRYen
dc.subjectINDUSTRIAL DEVELOPMENTen
dc.subjectINVESTMENTen
dc.subjectMANAGEMENT PRACTICEen
dc.subjectOIL INDUSTRYen
dc.subjectPROBABILITYen
dc.subjectPROJECT ASSESSMENTen
dc.subjectRISK ASSESSMENTen
dc.subjectUNCERTAINTY ANALYSISen
dc.subjectVALUATIONen
dc.titleValue-based approach to managing the risks of investing in oil and gas businessen
dc.typeArticleen
dc.typeinfo:eu-repo/semantics/articleen
dc.typeinfo:eu-repo/semantics/publishedVersionen
dc.identifier.doi10.2495/SDP-V12-N6-1085-1095-
dc.identifier.scopus85021301353-
local.affiliationAcademic Department of Banking and Investment Management, Ural Federal University Named After the first President of Russia, B.N. Yeltsin, Russian Federationen
local.contributor.employeeДомников Алексей Юрьевичru
local.contributor.employeeХоменко Павел Михайловичru
local.contributor.employeeХодоровский Михаил Яковлевичru
local.description.firstpage1085-
local.description.lastpage1095-
local.issue6-
local.volume12-
local.identifier.pure1930803-
local.identifier.eid2-s2.0-85021301353-
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