DIVERSIFICATION AS A METHOD TO MINIMIZE THE NEGATIVE EFFECTS OF FINANCIAL RISKS
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Abstract
References
1. Pakova O. N. Sovershenstvovanie politiki prognozirovaniya razvitiya proizvodstva i realizatsii // Vestnik Severo-Kavkazskogo gosudarstvennogo tekhnicheskogo universiteta. 2012. № 2. S. 233-236.
2. Pakova O. N. Teoretiko-metodologicheskie aspekty ekonomicheskogo prognozirovaniya // Vestnik Severo-Kavkazskogo gosudarstvennogo tekhnicheskogo universiteta. 2009. № 2. S. 142-145.
Review
For citations:
Pakova O. DIVERSIFICATION AS A METHOD TO MINIMIZE THE NEGATIVE EFFECTS OF FINANCIAL RISKS. Newsletter of North-Caucasus Federal University. 2015;(6):128-131. (In Russ.)