Effects and Risks of Subjects of Digital Financial Markets: Experience in Managing Digital Risks
Abstract
The article examines digital financial markets in the context of their formation and development, and the role of innovative digital technologies in these processes. The emphasis is placed on the process of transformation of financial relationships of subjects and the resulting transformations of economic risks and effects. The foreign experience of determining digital financial risks and risk management concepts is analyzed. Based on the studied material, conclusions are drawn about the nature of the digital transformation of financial markets and the relevance of the application of standards and concepts of economic risk management.
About the Authors
E. V. KaraninaRussian Federation
Elena V. Karanina
Moskovskaya str., 36, Kirov, 610000
D. I. Skopin
Russian Federation
Dmitry I. Skopin
Moskovskaya str., 36, Kirov, 610000
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Review
For citations:
Karanina E.V., Skopin D.I. Effects and Risks of Subjects of Digital Financial Markets: Experience in Managing Digital Risks. Issues of Risk Analysis. 2024;21(3):50-59. (In Russ.)