将企业社会责任纳入营销组合,促进公司可持续发展:从财务风险管理的角度看问题

IF 2 Q2 BUSINESS, FINANCE
Risks Pub Date : 2024-07-31 DOI:10.3390/risks12080121
Abrorjon S. Kucharov, Anastasia A. Sozinova, Elena G. Popkova, Natalia M. Fomenko, Galina V. Vorontsova, Victoria N. Ostrovskaya
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引用次数: 0

摘要

本文致力于确定将企业社会责任纳入营销组合对现代企业财务风险的影响。根据 2023 年的国际统计数据,我们编制了财务风险对企业社会责任融入营销组合的依赖性回归模型。在此基础上,我们开发了一种管理公司可持续发展的新系统方法。其特点是对企业的可持续发展进行营销管理,对企业的社会和财务风险进行系统管理,以及通过将企业社会责任纳入营销组合来实施风险管理。主要结论是,企业在 "行动十年 "中的可持续发展需要将企业社会责任系统地纳入市场营销组合,因为这样才能同时降低社会和财务风险。这一结论的理论意义在于揭示了企业社会责任与公司财务风险之间之前未知的因果关系,本文通过 7P 模型中营销组合要素的视角对此进行了解释。这项研究的独创性在于开发了新的营销工具,借助企业社会责任对企业的社会和财务风险进行系统管理。其实际意义在于,所提供的将企业社会责任更全面地融入营销组合的建议将有助于降低财务风险,确保俄罗斯企业在行动十年(至 2030 年)的可持续发展。其管理意义如下:所制定的公司可持续发展系统管理方法将改善公司的风险管理实践,因为以前无法实现联合管理并普遍降低社会和财务风险。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Integration of CSR into the Marketing Mix for the Sustainable Development of Companies: A View from the Position of Financial Risk Management
This paper is devoted to establishing the consequences of integrating CSR into the marketing mix for financial risks in modern companies. Based on the international statistics for 2023, we compiled a regression model of the dependence of financial risks on the integration of CSR into their marketing mix. Based on that, we developed a new system approach to managing companies’ sustainable development. Its features are marketing management of the sustainable development of companies, systemic management of social and financial risks to companies, and implementation of risk management through integrating CSR into the marketing mix. The main conclusion is that the sustainable development of companies in the Decade of Action requires a systemic integration of CSR into the marketing mix, for this will allow for the simultaneous reduction of social and financial risks. The theoretical significance of this conclusion consists in the disclosure of previously unknown cause-and-effect relationships between CSR and financial risks to companies, which are explained in this paper through the lens of the elements of the marketing mix in the 7P model. The originality of this research consists in developing novel marketing tools for the systemic management of social and financial risks for companies with the help of CSR. The practical significance relates to the fact that the offered recommendations on the more complete integration of CSR into their marketing mix will allow reducing financial risks and ensuring sustainable development of Russian companies in the Decade of Action (until 2030). The managerial significance is as follows: the developed system approach to managing companies’ sustainable development will improve the practice of risk management in companies due to previously unavailable joint management and the general reduction of social and financial risks.
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来源期刊
Risks
Risks Economics, Econometrics and Finance-Economics, Econometrics and Finance (miscellaneous)
CiteScore
3.80
自引率
22.70%
发文量
205
审稿时长
11 weeks
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