The article is devoted to the study of the risks of financial innovations. Definitions of the concept of "financial innovation" are considered, object and process approaches to its interpretation are highlighted. A critical analysis of approaches to the interpretation of the term "risk of financial innovation" is made, and its author's definition is proposed. A systematic classification of risks of financial innovations has been formed, including 20 classification features, three of which are proposed by the authors.
Translated title of the contributionRISKS OF FINANCIAL INNOVATIONS: ANALYSIS OF THE CONCEPTUAL APPARATUS, DEFINITION AND CLASSIFICATION
Original languageRussian
Pages (from-to)3-11
Number of pages8
JournalУправление риском
Issue number2 (94)
Publication statusPublished - 2020

    Level of Research Output

  • VAK List

    GRNTI

  • 06.00.00 ECONOMY AND ECONOMIC SCIENCES

ID: 13416000