Improving the investment policy of institutional investors

IF 0.2 0 PHILOSOPHY
B. Doronin, E. Tomilina
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引用次数: 0

Abstract

The purpose of the study is to study the models for the formation of investment portfolios by institutional investors of various types in order to identify universal recommendations for improving their investment policy at the present stage of economic development. The scientific novelty consists in identifying priority areas for investing institutional investors at the present stage of economic development and developing proposals to improve the efficiency of their investment policy. As a result, practical aspects related to the implementation of various models of investment portfolios are presented, as well as modern trends that determine their content are identified. Possible directions for improving the investment policy of institutional investors in modern conditions are proposed.
完善机构投资者投资政策
本研究的目的是研究各种类型的机构投资者形成投资组合的模式,以便确定在当前经济发展阶段改善其投资政策的普遍建议。科学的新颖性在于在经济发展的当前阶段确定投资机构投资者的优先领域,并提出提高其投资政策效率的建议。因此,介绍了与各种投资组合模型的实施有关的实际方面,并确定了确定其内容的现代趋势。提出了在现代条件下完善机构投资者投资政策的可能方向。
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来源期刊
Kant Yearbook
Kant Yearbook PHILOSOPHY-
CiteScore
0.30
自引率
0.00%
发文量
8
期刊介绍: The Kant Yearbook is an international journal that publishes articles, historical or systematic, on the philosophy of Immanuel Kant. It is the yearbook′s goal to intensify innovative research on Kant on the international scale. Articles are double-blind peer reviewed by an internationally renowned editorial board. Each issue is dedicated to a specific topic announced through a call for papers.
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