Portfolio optimization retail investor
https://doi.org/10.20914/2310-1202-2016-4-296-300
Abstract
About the Authors
I. А. KiselevaRussian Federation
doctor of economics sciences, professor, mathematical methods in economics department,
Stremyanny av., 36, Moscow
N. E. Simonovich
Russian Federation
doctor of psychological sciences, professor, personality psychology department, Vygotsky institute of psychology,
Miusskaya sq., 6, Moscow
I. F. Narizhny
Russian Federation
doctor of economics sciences, professor, management and marketing in agriculture department,
str. Michurina, 1, Voronezh
References
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10. 10 Alexander С. Financial Risk Management and Analysis. Wiley, 1996.
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Review
For citations:
Kiseleva I.А., Simonovich N.E., Narizhny I.F. Portfolio optimization retail investor. Proceedings of the Voronezh State University of Engineering Technologies. 2016;(4):296-300. (In Russ.) https://doi.org/10.20914/2310-1202-2016-4-296-300