Methods of Selection of Diagnostic Indicators of Financial Security
The article provides main approaches to justification of information environment of signs of financial security. It considers the algorithm of analysis of data using the method of canonical correlations, which gives an opportunity to increase the quality of the information model of financial security by means of simultaneous analysis of a set of output indicators and a bigger number of determining factors, their ranging on the basis of analysis of the structure of canonical variables.
Volume (Year): (2013)
Issue (Month): 4 ()
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