About the risks, accounted in the modeling of economic indicators

Risk-management
Authors:
Abstract:

The present paper is developed to the processes of risk arise in the modeling of economic indicators, with the threshold values. The formulas for determining risks in the case of multifactor regression are received. Proposed methods of risk management. The results of this paper are illustrated by the example of model of formation of the market value of the apartment with the view of its area and location.