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