Finansinis komercinių kontraktų valdymas
Santrauka
While taking into account any sophisticated comercial contract, multi - factor environment problem, increasing uncertainty of the final result, is getting clear. Planning and implementing such contracts, quantitative financial analysis, providing the most suitable financial conditions for the contract, is urgently needed. In the article, presenting it from a standpoint of a consumer, methodics for selection of analitical contract conditions, as well as possibilities to change them are highlighted. Risk problem is being tried to solve as well, applying economical-mathematical models, as well as conforming sensitivness analysis to the probability forcast index distributions.
