MODEL OF INVESTMENTS EFFICIENCY MANAGEMENT OF COMMERCIAL BANK IN SECURITIES
Journal: Science and world (Vol.2, No. 32)Publication Date: 2016-04-15
Authors : Kaldiyarov D.A.; Lemeshchenko O.V.;
Page : 29-32
Keywords : process of securities portfolio management; methods of the investment analysis; investment strategy; model of efficiency management;
Abstract
The model of financial investments efficiency management of commercial bank in securities developed on the basis of a combination of the investment analysis methods and by means of procedure specification of financial instruments portfolio formation is given in this article. The advantages and disadvantages of usage of the complex assessment of the companies-issuers presented in the model are described.
Other Latest Articles
- THE SEARCH FOR A BETTER PUBLIC / PRIVATE MIX IN CONTEMPORARY MARKET ECONOMIES
- ANALYSIS OF THE COMPANY’S CASH FLOW
- METHODS OF ESTIMATING COMPETITIVENESS OF AN ENTERPRISE
- ADVANTAGES AND DISADVANTAGES OF RUSSIA’S WTO ACCESSION FOR THE RUSSIAN BUSINESS
- THE ISSUE OF STATE DEBT AND BUDGET DEFICIT AT THE FEDERAL AND REGIONAL LEVELS
Last modified: 2016-08-16 16:19:26