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<article article-type="research-article" dtd-version="1.3" xmlns:mml="http://www.w3.org/1998/Math/MathML" xmlns:xlink="http://www.w3.org/1999/xlink" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xml:lang="ru"><front><journal-meta><journal-id journal-id-type="publisher-id">emjume</journal-id><journal-title-group><journal-title xml:lang="ru">Экономика и управление</journal-title><trans-title-group xml:lang="en"><trans-title>Economics and Management</trans-title></trans-title-group></journal-title-group><issn pub-type="ppub">1998-1627</issn><issn pub-type="epub">3033-7984</issn><publisher><publisher-name>СПбУТУиЭ</publisher-name></publisher></journal-meta><article-meta><article-id pub-id-type="doi">10.35854/1998-1627-2024-2-192-201</article-id><article-id custom-type="elpub" pub-id-type="custom">emjume-1986</article-id><article-categories><subj-group subj-group-type="heading"><subject>Research Article</subject></subj-group><subj-group subj-group-type="section-heading" xml:lang="ru"><subject>МЕНЕДЖМЕНТ ОРГАНИЗАЦИИ</subject></subj-group><subj-group subj-group-type="section-heading" xml:lang="en"><subject>BUSINESS MANAGEMENT</subject></subj-group></article-categories><title-group><article-title>Алгоритм управления рисками инновационного проекта</article-title><trans-title-group xml:lang="en"><trans-title>Algorithm of innovation project risk management</trans-title></trans-title-group></title-group><contrib-group><contrib contrib-type="author" corresp="yes"><contrib-id contrib-id-type="orcid">https://orcid.org/0000-0001-5158-4083</contrib-id><name-alternatives><name name-style="eastern" xml:lang="ru"><surname>Горовой</surname><given-names>А. А.</given-names></name><name name-style="western" xml:lang="en"><surname>Gorovoy</surname><given-names>A. A.</given-names></name></name-alternatives><bio xml:lang="ru"><p>Александр Андреевич Горовойдоктор экономических наук, доцент, профессор факультета технологического менеджмента и инноваций197101, Санкт-Петербург, Кронверкский пр., д. 49а</p></bio><bio xml:lang="en"><p>Aleksandr A. GorovoyD.Sc. in Economics, Associate Professor, Professor at the Faculty of Technology Management and Innovation</p><p>49а Kronverksky Ave., St. Petersburg 197101,</p></bio><email xlink:type="simple">gorovoi@itmo.ru</email><xref ref-type="aff" rid="aff-1"/></contrib><contrib contrib-type="author" corresp="yes"><contrib-id contrib-id-type="orcid">https://orcid.org/0000-0001-9250-8941</contrib-id><name-alternatives><name name-style="eastern" xml:lang="ru"><surname>Григорьев</surname><given-names>И. В.</given-names></name><name name-style="western" xml:lang="en"><surname>Grigoriev</surname><given-names>I. V.</given-names></name></name-alternatives><bio xml:lang="ru"><p>Игорь Вадимович Григорьеваспирант факультета технологического менеджмента и инноваций</p><p>197101, Санкт-Петербург, Кронверкский пр., д. 49а</p></bio><bio xml:lang="en"><p>Igor V. Grigorievpostgraduate student at the Faculty of Technology Management and Innovation49а Kronverksky Ave., St. Petersburg 197101,</p></bio><email xlink:type="simple">ivgrigorev@itmo.ru</email><xref ref-type="aff" rid="aff-1"/></contrib></contrib-group><aff-alternatives id="aff-1"><aff xml:lang="ru">Университет ИТМО<country>Россия</country></aff><aff xml:lang="en">ITMO University<country>Russian Federation</country></aff></aff-alternatives><pub-date pub-type="collection"><year>2024</year></pub-date><pub-date pub-type="epub"><day>06</day><month>03</month><year>2024</year></pub-date><volume>30</volume><issue>2</issue><fpage>192</fpage><lpage>201</lpage><permissions><copyright-statement>Copyright &amp;#x00A9; Горовой А.А., Григорьев И.В., 2024</copyright-statement><copyright-year>2024</copyright-year><copyright-holder xml:lang="ru">Горовой А.А., Григорьев И.В.</copyright-holder><copyright-holder xml:lang="en">Gorovoy A.A., Grigoriev I.V.</copyright-holder><license license-type="creative-commons-attribution" xlink:href="https://creativecommons.org/licenses/by/4.0/" xlink:type="simple"><license-p>This work is licensed under a Creative Commons Attribution 4.0 License.</license-p></license></permissions><self-uri xlink:href="https://emjume.elpub.ru/jour/article/view/1986">https://emjume.elpub.ru/jour/article/view/1986</self-uri><abstract><sec><title>Цель</title><p>Цель. Разработка алгоритма управления рисками, который можно использовать в риск-менеджменте инноваций.</p></sec><sec><title>Задачи</title><p>Задачи. На основе действующих международных стандартов риск-менеджмента и научных публикаций изучить существующую практику управления рисками, выделив основные элементы процесса риск-менеджмента в единый обобщенный алгоритм управления рисками; по итогам решения первой задачи, а также с учетом выявленных особенностей процесса внедрения инноваций разработать алгоритм управления рисками инновационных проектов.</p></sec><sec><title>Методология</title><p>Методология. Работа построена на исследовании научных публикаций в области риск-менеджмента и анализе международных стандартов по управлению рисками с целью адаптации их к особенностям управления инновациями.</p></sec><sec><title>Результаты</title><p>Результаты. Проблема управления рисками инновационных проектов является одной из самых сложных в управлении проектами из-за значительной степени неопределенности, присущей инновациям. В статье отражена проблема принятия инвесторами повышенного риска в ходе реализации инновационного проекта. Особенность риск-менеджмента инноваций заключается в необходимости принятия повышенного риска, а взамен –возможность представить рынку новый товар или технологию. С учетом рассмотренных особенностей приведен алгоритмический подход к управлению рисками инновационных проектов. Практическая значимость исследования заключается в возможности применения разработанного алгоритма управления рисками инновационного проекта экономическими субъектами, что повысит качество корпоративного риск-менеджмента и увеличит эффективность использования ресурсов. Авторы указывают на необходимость выбора проекта с положительным NPV (метод discounted cash flow, DCF) и принятия повышенного риска инновационного проекта в процессе управления инновациями.</p></sec><sec><title>Выводы</title><p>Выводы. Авторами создан комплексный методологический подход к управлению рисками инновационного проекта в виде алгоритма последовательности действий. Цель его применения — повышение эффективности риск-менеджмента и достижение успешного результата внедрения инноваций.</p></sec></abstract><trans-abstract xml:lang="en"><sec><title>Aim</title><p>Aim. To develop a risk management algorithm that can be used in risk management of innovations.</p></sec><sec><title>Objectives</title><p>Objectives. On the basis of the current international standards of risk management and scientific publications to study the existing practice of risk management, highlighting the main elements of the risk management process into a single generalized risk management algorithm; based on the results of the first task, as well as taking into account the identified features of the process of innovation implementation, to develop an algorithm for risk management of innovation projects.</p></sec><sec><title>Methods</title><p>Methods. The work is based on the study of scientific publications in the field of risk management and analysis of international standards on risk management in order to adapt them to the peculiarities of innovation management.</p></sec><sec><title>Results</title><p>Results. The problem of risk management of innovation projects is one of the most difficult in project management because of the significant degree of uncertainty inherent in innovation. The article reflects the problem of investors’ acceptance of increased risk during the realization of an innovation project. The peculiarity of risk management of innovations is the need to accept increased risk, and in return the opportunity to present a new product or technology to the market. Taking into account the considered peculiarities, an algorithmic approach to risk management of innovation projects is given. The practical significance of the study lies in the possibility of applying the developed algorithm of innovation project risk management by economic entities, which will improve the quality of corporate risk management and increase the efficiency of resource utilization. The authors point out the necessity of selecting a project with positive NPV (discounted cash flow, DCF) and accepting the increased risk of the innovation project in the process of innovation management.</p></sec><sec><title>Conclusions</title><p>Conclusions. The authors have created a comprehensive methodological approach to innovation project risk management in the form of a sequence of actions algorithm. The purpose of its application is to increase the efficiency of risk management and to achieve a successful result of innovation implementation.</p></sec></trans-abstract><kwd-group xml:lang="ru"><kwd>риск</kwd><kwd>корпоративный риск-менеджмент</kwd><kwd>управление рисками</kwd><kwd>система управления рисками</kwd><kwd>инновационные проекты</kwd></kwd-group><kwd-group xml:lang="en"><kwd>risk</kwd><kwd>corporate risk management</kwd><kwd>risk management</kwd><kwd>risk management system</kwd><kwd>innovative projects</kwd></kwd-group></article-meta></front><back><ref-list><title>References</title><ref id="cit1"><label>1</label><citation-alternatives><mixed-citation xml:lang="ru">Bernstein P. L. The new religion of risk management // Harvard Business Review. 1996. No. 74. 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