Methodological framework to apply a financial risk management model within the UNED
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| Автор: | |
|---|---|
| Формат: | artículo original |
| Статус: | Versión publicada |
| Дата публикации: | 2019 |
| Описание: | This paper offers a technical frame of reference in order to make a model for managing financial riskin a university.These are the results of are search carried out in 2013. Theoretical aspects of risk management are analyzed; it also shows the AS/NZS 4360:1999, Australian Standard of Risk Management, which brings a series of definitions in order to understand the way it is applied in organizations. Methodology has a central objective and three specific ones that show the route to follow in order to make the management model. Some elements were analyzed such asthe characteristics for business risk management and in doing so, the actions to determine probabilities were taken into account (risk level of occurrence) and impacts (consequences that may generate risk), techniques and alternatives to mitigate risk and finally how to follow them upduring the whole process of risk management. From there on the model to implement proposed. |
| Страна: | Portal de Revistas UNED |
| Институт: | Universidad Estatal a Distancia |
| Repositorio: | Portal de Revistas UNED |
| Язык: | Español |
| OAI Identifier: | oai:revistas.investiga.uned.ac.cr:article/2470 |
| Online-ссылка: | https://revistas.uned.ac.cr/index.php/rna/article/view/2470 |
| Ключевое слово: | Law, Risks Model Integral Risk Management Financia Normativa, Riesgos Modelo, Administración Integral de Riesgos Financiero |