Sucharev, O. S. - In: Journal of risk and financial management : JRFM 13 (2020) 9/195, pp. 1-20
problem) as one of the areas in modern portfolio theory development. The article also argues that portfolio analysis is a … method of structural analysis for various economic units. The research methodology is defined by the portfolio theory …, optimization models implemented by the numerical gradient projection method, the empirical static method of analysis and simulation …