About connection between choice of the strategy of refinance of bag and degree of evasion of investor’s risk

  • Л. П. Яновский Voronezh State Agricultural University
  • С. Н. Владыкин Institute Management Marketing and Finances Voronez
Keywords: strategy of investment, Markovic’s model, functions of benefit, degree of avoidance from risk

Abstract

In given article the connection between the strategy of investment and attitude towards investor’s risk is explored. It is showed that one neutral to risk, possessing wide reserves for reinvesting, chooses the bag of Markovic. It is also proved that long-term investor, time of asset growth described by Merton-Samuelson’s model, appears evasive investor from risk.

Downloads

Download data is not yet available.
Published
2015-04-05
How to Cite
Яновский, Л. П., & Владыкин, С. Н. (2015). About connection between choice of the strategy of refinance of bag and degree of evasion of investor’s risk. Modern Economics: Problems and Solutions, 1, 139-148. Retrieved from https://journals.vsu.ru/meps/article/view/4159
Section
Статьи