12 research outputs found
Формирование портфеля биржевых инвестиционных фондов по методу Марковица
The study is devoted to research of effective portfolio management. Main goal is forming a portfolio of Exchange-Traded Funds (ETF) with Markowitz method and making statistical research of this portfolio management's efficiency. There is a determination of portfolio management rules, then study presents portfolio forming with following steps: choice of 8 ETFs according strategy of biggest average day volume (liquidity) and biggest return last year and forming of a portfolio corresponding with chosen conditions. Then different strategies of portfolio revision are considered and compared with the basic "buy and hold" strategy
Erkundung unerschlossener Bereiche von Salzlagerstaetten durch hochfrequente elektromagnetische Bohrlochmessverfahren Abschlussbericht. (Gemeinsamer Bericht)
TIB: AC 9804 / FIZ - Fachinformationszzentrum Karlsruhe / TIB - Technische InformationsbibliothekSIGLEDEGerman