МОДЕЛЮВАННЯ ТА АНАЛІЗ ДИНАМІКИ ІНВЕСТИЦІЙ

We consider the problems of mathematical modeling and analysis of qualitative characteristics of the processes that describe the dynamics of market prices in the stock market. The features of the application of sensitivity analysis methods and practical stability characteristics of the securities po...

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Збережено в:
Бібліографічні деталі
Дата:2025
Автори: Garashchenko, F.G., Kulyan, V.R., Rutitskaya, V.V.
Формат: Стаття
Мова:English
Опубліковано: V.M. Glushkov Institute of Cybernetics of NAS of Ukraine 2025
Онлайн доступ:https://jais.net.ua/index.php/files/article/view/616
Теги: Додати тег
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Назва журналу:Problems of Control and Informatics

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Problems of Control and Informatics
Опис
Резюме:We consider the problems of mathematical modeling and analysis of qualitative characteristics of the processes that describe the dynamics of market prices in the stock market. The features of the application of sensitivity analysis methods and practical stability characteristics of the securities portfolio are investigated. On the basis of mathematical modeling and control theory the methods and algorithms for solving dynamic problems of investment management that arise in the study of strategies for managing portfolios of assets and liabilities are formulated.