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Portfolio investments in the world and Russia. Choosing a strategy

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Author:Evstigneev V.
Cover:Hard
Category:Business & Money
ISBN:978-5-9710-5551-8
Dimensions: 145x23x215cm
The monographs discuss various strategies of portfolio investors in the developed (American) and developing domestic shares. The author shows that the specifics of the developing market is that it objectively encourages more risky and punishes more careful types of investment behavior. The book provides non -traditional cost assessments in the developed and Russian markets and proves that since 2001, the cost of risks in the Russian markets has been approaching a normal level comparable to the American one.
The author proves that the behavior of the Russian type market is determined by the desire of players to minimize the information capacity --- statistical entropy --- investment portfolios. A member of a highly risky market prefers such types of investment behavior that are fraught with less complexity of decisions, and not those that promise higher profitability or less volatility.
The book analyzes the influence of information coming from the American stock market on the preferences of participants in the Russian market in relation to various types of investment strategies. The author demonstrates that the signals that come from the American market to the peripheral domestic encourage a more risky type of investment behavior and suppress the motivation of investors prone to perpetration.
The monograph is designed for researchers in the field of stock market, graduate students, teachers and senior students specializing in financial issues
Author:
Author:Evstigneev V.
Cover:
Cover:Hard
Category:
  • Category:Business & Money
Publication language:
Publication Language:Russian
Paper:
Paper:Offset
Age restrictions:
Age restrictions:16+
ISBN:
ISBN:978-5-9710-5551-8

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