Models of the formation and optimization of the investment portfolio
E. V. Nazarova () and
O. A. Zhdanova ()
Scientific notes of the Russian academy of entrepreneurship, vol. 16, issue 1
Abstract:
The paper presents the rationale for exploring the possibilities of practical use of the model to optimize the investment portfolio in conditions of pronounced uncertainty including the Russian financial market.
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Persistent link: https://EconPapers.repec.org/RePEc:cvt:journl:y::id:488
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