Publication:
Integrated model of invesтment portfolio optimisation

cris.virtual.department#PLACEHOLDER_PARENT_METADATA_VALUE#
cris.virtual.orcid#PLACEHOLDER_PARENT_METADATA_VALUE#
cris.virtualsource.departmentaabfae93-8b93-47c7-89a3-0ed641f6ab77
cris.virtualsource.orcidaabfae93-8b93-47c7-89a3-0ed641f6ab77
dc.contributor.authorPistunov, I. M.
dc.date.accessioned2022-07-07T10:26:08Z
dc.date.available2022-07-07T10:26:08Z
dc.date.issued2019
dc.description.abstractInvestment portfolio optimization was an issue of scientific and practical interest since stock markets establishment. However, since the global economy in general and Ukraine economy in particular are unstable, the challenge of financial resources efficient allocation becomes more urgent. Traditionally, financial tools and mathematical-economical models that reduce risk and provide high-profitable investment are of particular interest in the periods of economical uncertainty.uk_UA
dc.identifier.citationPistunov I. M. Integrated model of invesтment portfolio optimisation / Pistunov I. M. // ЦИФРОВА ЕКОНОМІКА : матеріали ІІ Національної наук.-метод. конф., м. Київ, 17-18 жовтня 2019 р. – Київ : КНЕУ. – С. 126-129.uk_UA
dc.identifier.urihttp://ir.nmu.org.ua/handle/123456789/161026
dc.language.isoenuk_UA
dc.subjectінтегральна модельuk_UA
dc.subjectinvesтment portfolio optimisationuk_UA
dc.subjectIntegrated modeluk_UA
dc.titleIntegrated model of invesтment portfolio optimisationuk_UA
dc.typeArticleuk_UA
dspace.entity.typePublication

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