Managerial process by a portfolio of securities
Holodna J. E. and
Nagai I. V.
Вісник економіки транспорту і промисловості, 2011, issue 34, 417-421
Abstract:
In this article the methodology of securities portfolio management is represented. Also there are described the substance and the content of such conceptions as: management target, management resources, instruments of management, management objects, external condition of management and their interrelation. As a result of research the scheme of securities portfolio management is given. This scheme also consider internal and external factors of influence with all mentioned earlier management elements.
Keywords: ФОНДОВИЙ РИНОК; ПОРТФЕЛЬ ЦіННИХ ПАПЕРіВ; ПРОЦЕС УПРАВЛіННЯ (search for similar items in EconPapers)
Date: 2011
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Persistent link: https://EconPapers.repec.org/RePEc:scn:031720:15304916
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