Acta Universitatis Danubius. Œconomica, Vol. 9, No. 2

Authors

  • Collective Authors

Abstract

The paper represents a topical subject in the economic-financial field and constitutes a
particular interest to some specialists from the economic environment, because it presents a conscious
and calculated assuming of the reality, evaluated equally in time and space. The practical research of
this paper is materialized in a scientific approach that includes a number of 27 companies, divided
equally in three economic sectors (production, construction and tourism), which has in view the
obtainment of useful and perspective information, concerning the impact that risk indicators have on
activities which underlie at each economic sector. The purpose of this research is developing and
deepening the risk problematic, focusing on the role of relevant financial indicators, with which can
be identified the optimal solutions of each analyzed company from the corresponding economic
sector, allowing the formulation of some proposals and structure analysis that are intended to
contribute to the development of knowledge in the domain studied. The paper itself is a matter of
utmost importance, because it attempts to provide a comprehensive picture of the current stage in
which the economic entities are found and responds to exigencies faced by managers in the current
economic context.

References

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Buglea, A. & Lala, P. I. (2009). Analiză economico-financiară/Economic and financial analysis.
Timisoara: Mirton, pp. 168.
Hampton, J.J. (2009). Fundamentals of Enterprise Risk Management: How Top Companies Assess
Risk, Manage Exposure and Seize Opportunity. New York: AMACOM, pp. 18.
Lala, P.I. & Aniş, C.N. (2010). Profitability and Risk – Components of the Financial Management:
Acta Universitatis Danubius. OEconomica, Vol. 6, No. 2, pp. 40.
Lala, P. I. & Miculeac, E. M. (2009). Analiza financiară a întreprinderii/Financial analysis of the
company. Timisoara: Mirton, pp. 136-140.
Matiş, D. (2012). Statistici privind indicatori utili analizei economice şi evaluării
proprietăţilor/Statistics concerning useful indicators of economic analysis and property valuation.
Cluj-Napoca: Grinta, pp. 18.
Malz, A.M. (2011). Financial Risk Management: Models, History, and Institutions. New Jersey: John
Wiley & Sons, pp. 34.

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Published

2021-05-27

How to Cite

Collective Authors. (2021). Acta Universitatis Danubius. Œconomica, Vol. 9, No. 2: Array. Acta Universitatis Danubius. Œconomica, 9(2). Retrieved from https://dj.univ-danubius.ro/index.php/AUDOE/article/view/1068

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Articles