ListarVol. 40, Nº 16 (2019) por tema "modeling"
Mostrando ítems 1-1 de 1
-
Methods of risk management in portfolio theory
(Asociación para el Desarrollo de la Ciencia y la Tecnología, 2019-05-13)The relevance of the study is caused to the development of the financial market and the increasing of role in the economy. Any activity on the financial market poses risks of losses as a result of the influence of ...