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THE USE OF MATHEMATICAL METHODS TO ESTABLISH A SYSTEM OF ANALYSIS OF THE DEPOSITARY’S REVENUE BASE

Abstract

The report examines the approaches to the problems of forecasting the budget of depositary. Overview of the approaches to the creation of an analytical model complex.

About the Author

A. V. Poluektov
State University of Management
Russian Federation
postgraduate


References

1. Гамбаров Г.М. Метод Парето-регуляризации финансовых показателей. // Финансы и кредит. 2006. № 6. C. 47–52.

2. Писарева О.М. Методы прогнозирования развития социально-экономических систем. / О.М. Писарева. – М.: Высшая школа, 2007.

3. Интернет-портал http://www.forecast.ru/ .


Review

For citations:


Poluektov A.V. THE USE OF MATHEMATICAL METHODS TO ESTABLISH A SYSTEM OF ANALYSIS OF THE DEPOSITARY’S REVENUE BASE. Business Strategies. 2013;(2):104-107. (In Russ.)

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ISSN 2311-7184 (Online)