Abstract
The article describes special considerations of the financial investment in Russia. Based on the results of the research conducted, it is noted that diversification, rational attitude to risk, forecasting and insurance provide all together the best solutions for any kind of investment in the Russian Federation. Investing in Russia is always subject to different risks. Thus, solutions to possible problems should be reflected in the so-called risk list. This document should be developed directly before investing and should include all risks most common to a certain scope of investment. Also, it is necessary to assess potential losses and provide ways to minimize them.
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Kolupaev, R. V., Rogacheva, L. I., Moskalenko, A. V., Ulrikh, I. V., & Mikhailova, T. A. (2015). Special considerations of the financial investment in russia. Asian Social Science, 11(7), 297–304. https://doi.org/10.5539/ass.v11n7p297
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