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RAQAMLI BIZNES MODELLARIDA DAROMAD DISPERSIYASINI BAHOLASH USULLARI

Affiliation
Namangan muhandislik-texnologiya instituti image/svg+xml

Annotatsiya

Maqolada raqamli biznes modellarida daromad dispersiyasini baholash usullari ko'rib chiqiladi. Zamonaviy raqamli iqtisodiyotda kompaniyalar uchun daromadlar barqarorligini ta'minlash muhim ahamiyat kasb etadi. Ushbu maqola doirasida daromad dispersiyasini tahlil qilishda foydalaniladigan asosiy usullar va ular asosida qarorlar qabul qilish jarayoniga ta'siri o'rganiladi. Amaliy misollar orqali usullarning samaradorligi va qo'llashning afzalliklari tahlil qilinadi.

References

  1. Engle, R. F. (1982). "Autoregressive Conditional Heteroscedasticity with Estimates of the Variance of UK Inflation." Econometrica, 50(4), 987-1007
  2. Hamilton, J. D. (1994). Time Series Analysis. Princeton University Press. Muallif ishlanmasi
  3. Anderson, C. (2006). The Long Tail: Why the Future of Business Is Selling Less of More. Hyperion
  4. Varian, H. R. (2010). Intermediate Microeconomics: A Modern Approach. W. W. Norton & Company
  5. Brynjolfsson, E., & McAfee, A. (2014). The Second Machine Age: Work, Progress, and Prosperity in a Time of Brilliant Technologies. W. W. Norton & Company
  6. Choi, J. J., & Meek, G. K. (2011). International Accounting
  7. Tapscott, D. (1996). The Digital Economy: Promise and Peril in the Age of Networked Intelligence
  8. Kohavi, R., & Longbotham, R. (2017). Online Controlled Experiments and A/B Testing
  9. McKinsey Global Institute (2016). Digital Globalization: The New Era of Global Flows
  10. Silver, N. (2012). The Signal and the Noise: Why So Many Predictions Fail— but Some Don’t

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