Abstract: This article suggests a method to accomplish some problems considered in the model of securities portfolio optimization for the case of risk-free borrowing and lending. The calculating of the...
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Abstract: The article analyses the development of the modern Russian financial market. The methodology is evaluating the indicators of the financial development in different years and cross-country comparative analysis. The...
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Abstract: This work suggests a method to accomplish some problems considered in the model of securities portfolio optimization for the case of risk-free borrowing and lending, especially, determining the parameters...
Читать далее