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Some aspects of the formation a financial strategy in emerging markets

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dc.contributor.author Pochitaev A.
dc.contributor.author Yarovinskaya M.
dc.contributor.author Filippova I.
dc.date.accessioned 2018-09-18T20:38:36Z
dc.date.available 2018-09-18T20:38:36Z
dc.date.issued 2014
dc.identifier.issn 2039-9340
dc.identifier.uri https://dspace.kpfu.ru/xmlui/handle/net/142028
dc.description.abstract © 2014, Mediterranean Center of Social and Educational Research. All rights reserved. The article describes the main problems of formation and implementation of financial strategies of companies in emerging capital markets. The authors propose a methodological basis to resolve the identified problems - the use of both classical matrix of financial strategies, and developed and tested on the Russian market of the matrix of optimal capital structure. In today's globalized markets, the presence of a financial strategy is a prerequisite not only to maximize the company's market value, but also to improve its competitiveness and sustainability.
dc.relation.ispartofseries Mediterranean Journal of Social Sciences
dc.subject Classical model of financial strategies
dc.subject Cost Indicators
dc.subject Emerging markets
dc.subject Financial strategy
dc.subject Matrix of optimal capital structure
dc.title Some aspects of the formation a financial strategy in emerging markets
dc.type Article
dc.relation.ispartofseries-issue 24
dc.relation.ispartofseries-volume 5
dc.collection Публикации сотрудников КФУ
dc.relation.startpage 28
dc.source.id SCOPUS20399340-2014-5-24-SID84911370073


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  • Публикации сотрудников КФУ Scopus [24551]
    Коллекция содержит публикации сотрудников Казанского федерального (до 2010 года Казанского государственного) университета, проиндексированные в БД Scopus, начиная с 1970г.

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