ARMEANU, Ştefan Daniel; VINTILĂ, Georgeta; MOSCALU, … - In: Theoretical and Applied Economics XVIII(2012) (2012) 1(566), pp. 97-112
Diversification of methods and techniques for quantification and management of risk has led to the development of many mathematical models, a large part of which focused on measuring bankruptcy risk for businesses. In financial analysis there are many indicators which can be used to assess the...