Investment Planning in the Context of Business Cycle Volatility
2015
Jekaterina Skoruka

The presented research describes methods, used to evaluate and choose more efficient solutions, regarding participation in stock market activities. A newly developed forecasting model, based on classically applied and time-proven methodologies, was created. Its aim was to ease the decision-making in the related area as well as to rationalize the optimal investment portfolio structure determination process.


Atslēgas vārdi
Technical analysis, fundamental analysis, stock analysis, decision-making models, forecasting models, investment portfolio
DOI
10.1515/eb-2015-0008

Nazarova, J. Investment Planning in the Context of Business Cycle Volatility. Ekonomika un uzņēmējdarbība. Nr.27, 2015, 53.-57.lpp. ISSN 2256-0386. e-ISSN 2256-0394. Pieejams: doi:10.1515/eb-2015-0008

Publikācijas valoda
English (en)
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