Determining the Investors’ Strategy During the COVID-19 Crisis Based on the S&P 500 Stock Index
Analýza možnej návratnosti zvolenej investičnej stratégie na základe optimalizačného modelu výberu portfólia na základe miery rizika CVaR (Conditional Value at Risk) počas krízy Covid-19 a predkrízového obdobia. Vplyv krízy Covid-19 na rozhodovanie investorov prostredníctvom rizikového opatrenia CVa...
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| Language: | English |
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