A comparative analysis of investment risk management in the non-profit sector

Authors

  • Rakhimov Shoxrux Abduqaxxor O‘g‘li
  • Muhamad Arief Ramdhany

Abstract

This study examines the complex process of investment risk management in the private sector, analyzing how
the industry is often shaped by revenue-based risk management systems. In particular, the research examines the private
sector's financial risk-taking objectives. The study examines the integration of risk analysis with strategic planning.

Keywords

non-profit sector, investment risk management, strategic planning, resilience, financial stability.

Author Biographies

Rakhimov Shoxrux Abduqaxxor O‘g‘li

Graduate student, Universitas Pendidikan Indonesia

Muhamad Arief Ramdhany

Associate Professor of Economic and Business Education,Universitas Pendidikan Indonesia

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Published

2024-08-07

How to Cite

Rakhimov, S., & Muhamad Arief Ramdhany. (2024). A comparative analysis of investment risk management in the non-profit sector. GREEN ECONOMY AND DEVELOPMENT, 2(8). Retrieved from https://yashil-iqtisodiyot-taraqqiyot.uz/journal/index.php/GED/article/view/2734

Citation

Vol. 2 No. 8 (2024): «Yashil iqtisodiyot va taraqqiyot» jurnali