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Формування Методологічних Засад Аналізу Фінансового Стану Емітентів Цінних Паперів В Умовах Фінансової Кризи

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  • Мисака Г. В.

Abstract

В статті представлено результати дослідження ролі методологічних засад аналізу фінансового стану емітентів цінних паперів в процесі прийняття інвестиційних рішень учасниками фондового ринку в умовах фінансової кризи.The article presents the results of the study the role of the methodological basis of the finance analysis of the in the investment decision-making by the stock market participants under the conditions of the financial crisis.

Suggested Citation

  • Мисака Г. В., 2009. "Формування Методологічних Засад Аналізу Фінансового Стану Емітентів Цінних Паперів В Умовах Фінансової Кризи," Bulletin of Taras Shevchenko National University of Kyiv. Economics. Вісник Киiвського нацiонального унiверситету iм. Тараса Шевченка. Серiя: Економiка, CyberLeninka;Издательско-полиграфический центр «Киевский университет», issue 112, pages 65-68.
  • Handle: RePEc:scn:013723:644189
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    File URL: http://cyberleninka.ru/article/n/formuvannya-metodologichnih-zasad-analizu-finansovogo-stanu-emitentiv-tsinnih-paperiv-v-umovah-finansovoyi-krizi
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