Weighted Coefficient Model for Bank Investment Portfolio Optimization

dc.contributor.authorKuzheliev, Mykhailo
dc.contributor.authorBritchenko, Igor
dc.contributor.authorZhytar, Maksym
dc.date.accessioned2016-02-24T15:11:34Z
dc.date.available2016-02-24T15:11:34Z
dc.date.issued2015
dc.description.abstractThe article investigates conceptual positions of providing financial flexibility of decision making in the bank’s investment activity. It emphasizes the use of the mechanism, which includes the choice of investment strategy on the basis of institutional flexibility of decision-making; optimization of bank investment portfolio taking into account market flexibility; evaluation and regulation of managerial flexibility of decision making.pl
dc.identifier.citationBusiness and non-profit organizations facing increased competition and growing customers' demands : vol. 14. Ed. by A. Nalepka, A. Ujwary-Gil. Nowy Sącz : WSB-NLU and Fundacja Upowszechniająca Wiedzę i Naukę “Cognitione”, cop. 2015. - S. 149-162pl
dc.identifier.isbn978-83-65196-21-7
dc.identifier.urihttp://hdl.handle.net/11199/8960
dc.language.isoenpl
dc.publisherWyższa Szkoła Biznesu - National-Louis University in Nowy Sącz and Fundacja Upowszechniająca Wiedzę i Naukę “Cognitione”pl
dc.rightsopen accesspl
dc.rightsAttribution-NonCommercial-NoDerivs 3.0 Poland*
dc.rights.urihttp://creativecommons.org/licenses/by-nc-nd/3.0/pl/*
dc.subjectfinancial flexibilitypl
dc.subjectinstitutional flexibilitypl
dc.subjectmarket flexibilitypl
dc.subjectmanagerial flexibilitypl
dc.subjectinvestment strategypl
dc.titleWeighted Coefficient Model for Bank Investment Portfolio Optimizationpl
dc.typebookPartpl

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