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СтаттяЗовнішня публікація🌐 українська

METHODOLOGICAL APPROACHES TO THE STUDY OF THEORETICAL FOUNDATIONS OF INVESTMENT RISK INSURANCE IN A MARKET ECONOMY

Oleksandr ManoylenkoORCIDIevgen Strokov

Анотація

The article examines the theoretical and methodological foundations of investment risk insurance in the context of Ukraine’s modern market economy. It demonstrates that the category of investment risk constitutes one of the key elements within the system of financial and economic relations, as it directly affects the resilience and competitiveness of economic systems. The study investigates the classification of investment risks, particularly opportunity loss risk, return reduction risk, and direct financial loss risk, while outlining their specific features in entrepreneurial and financial investments. It is substantiated that investment risk insurance serves as a crucial instrument for enhancing the investment attractiveness of the economy, mitigating potential losses, and increasing the efficiency of investment activity. The paper identifies current challenges in the functioning of Ukraine’s investment risk insurance market, including underdeveloped infrastructure, low capitalization of insurance companies, a limited range of insurance products, and deficiencies in the legislative framework. The study concludes that there is a pressing need to develop a comprehensive methodology for investment risk insurance, which should incorporate scientifically grounded methods of risk assessment and the implementation of modern insurance mechanisms into investment practice.

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