Investment in financial markets: avoidance of risk or looking for success?
Data
2013Autorius
Rutkauskas, Aleksandras Vytautas
Kvietkauskienė, Alina
Metaduomenys
Rodyti detalų aprašąSantrauka
In the article authors provide their enshrined investment concept in the financial market when taking advantage of adequate portfolio model is demonstrated by the management of investment decisions in financial markets. By employing the DNB TRADE platform, the authors provide the results of experimental investment across global financial markets. Their proposed adequate portfolio model of investment return has a mixed purpose – it can be used for solving the problem at rational allocation of resources under uncertainty in a wide class of optimization tasks. The main attention in the article is given to disclosure the possibilities of adequate portfolio model for investment decisions.