Methods of Selection of Diagnostic Indicators of Financial Security

Journal Title: Бізнес Інформ - Year 2013, Vol 4, Issue 0

Abstract

The article provides main approaches to justification of information environment of signs of financial security. It considers the algorithm of analysis of data using the method of canonical correlations, which gives an opportunity to increase the quality of the information model of financial security by means of simultaneous analysis of a set of output indicators and a bigger number of determining factors, their ranging on the basis of analysis of the structure of canonical variables.

Authors and Affiliations

Lidiya Guryanova, Vyacheslav Nepomnyashchiy

Keywords

Related Articles

Infrastructure formations of venture capital as a form of integration of science into production

The article focuses on the problem of transfer of results of the scientific progress into production, solution of which would allow obtaining a socio-economic effect in the form of competitive advantages in the world mar...

Financial Leverage as a Tool to Assess the Risk of Formation of Financial Capital Structure of Commercial Enterprise

The purpose of this paper is to study financial leverage in terms of its possibilities for evaluating and predicting the risk of formation of financial capital structure of commercial enterprise. The problems associated...

Genesis of the Concept of Human Capital in the Post-industrial Society

The goal of the article is the study of genesis of the concept of human capital in the post-industrial society. Based on the analysis and generalisation of scientific works of many scientists, the article shows that deve...

Improving the E-Customs as the Key to Development of Customs Affairs in Ukraine

The article is concerned with substantiating the feasibility as to availability of objective data covering both the work of customs in general and the specific operations, namely, electronic declaring. The article contai...

Classification of Business Networking Structures

The article examines the factors that cause the need for the transition to the new network management practices. Different approaches to the definition of network companies were analyzed and own interpretation of the con...

Download PDF file
  • EP ID EP104488
  • DOI -
  • Views 125
  • Downloads 0

How To Cite

Lidiya Guryanova, Vyacheslav Nepomnyashchiy (2013). Methods of Selection of Diagnostic Indicators of Financial Security. Бізнес Інформ, 4(0), 377-381. https://www.europub.co.uk/articles/-A-104488