Author:
Karanina Elena,Kyzyurov Mihail
Abstract
The purpose of the study is to analyze the existing methodological approaches to assessing the investment component of financial and budgetary security and to develop, on their basis, a methodology for assessing the investment security of a region. In the course of the study, methods such as indicative method, comparison method, analysis, synthesis were used. The article provides a brief description of approaches to assessment of investment security and the author's methodology for assessing the investment component of the financial and budgetary security of the regions. In addition, the article presents the author's list of indicators, with the help of which it is proposed to assess, diagnose and identify threats that pose a threat to the financial and budgetary sphere. The proposed methodology has been tested on the example of the Komi Republic.