Stress testing and scenario analysis in assessing financial risks for oligopolistic structures

DOI: 10.33917/mic-4.123.2025.19-25

The article presents a detailed assessment of financial risks using stress testing and scenario analysis for oligopolistic structures.

References: 

1. Zhukovskaya I.V. Specifics of risk management of investment projects in industry. Economy and Management. 2010;2:53-56.

2. Zhukovskaya I.V. Minimization of financial risks and losses at the enterprise: from theory to practice. Microeconomics. 2024;4:65-71.

3. Financial management: textbook and workshop for universities / I.G. Gabidullina. Moscow: Publishing house Yurait, 2022. 482 p.

4. Data from the electronic database system «Kontur-Fokus» and «SBIS».

Opportunities of modification of the external environment by oligopolistic companies

DOI: 10.33917/mic-3.92.2020.5-11

The article discusses the functioning of oligopolistic companies in the global economy, analyzes their ability to modify the external environment in their own interests: lobbying laws favorable to companies; providing better working conditions and attracting state support measures in comparison with other subjects of market relations; dominant influence on counterparties; the formation of upward and downward global value chains. Particular attention is paid to ways to modify the external environment of companies that are leaders in the digital field.