IT 公司风险管理过程的数学建模

V. Khaustova, M. Ivanov
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引用次数: 0

摘要

如今,对信息技术的需求迅速增长。这是由许多不同的因素造成的,如世界信息量的增加、经济中该领域投资数量的增加等。信息技术产品本身具有高度的独特性。文章定义了 IT 公司风险管理过程的主要数学模型。文章介绍了信息技术领域风险的分类及其特点。文章定义了构建功能更强、基于数学的信息技术风险管理模型的基础,并指出了所述方法的不足之处。考虑了 IT 公司风险的主要参数并确定了其类型。总结了建立更具功能性和数学合理性的 IT 风险管理模式的基础,并指出了所述方法的不足之处。最后得出结论,有必要对风险管理的理论方面进行分析,使其适应现代市场条件,并在企业实体的管理系统中实际应用理论假设。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Mathematical Modeling of Risk Management Processes in IT Companies
Today, there is a rapid increase in the demand for information technologies. This is due to many different factors, such as the increase in the amount of information in the world, the increase in the number of investments in this area in the economy. IT products are characterized by a high degree of uniqueness on their own. The article defines the main mathematical models of the risk management process in IT companies. The classification of risks in the field of information technologies is presented, their features are described. The foundations for the construction of more functional and mathematically based models of IT risk management are defined, and the shortcomings of the described methods are also noted. The main parameters of risk in IT companies are considered and their types are determined. The basis for building more functional and mathematically justified models of IT risk management is summarized, and the shortcomings of the described methods are also noted. A conclusion was made about the need to analyze the theoretical aspects of risk management and their adaptation to modern market conditions and the practical application of theoretical postulates in the management system of a business entity.
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