Investment strategy in the portfolio investment market

dc.contributor.authorBeisembayev, T.
dc.date.accessioned2026-01-08T11:56:43Z
dc.date.available2026-01-08T11:56:43Z
dc.date.issued2023
dc.description.abstractThe paper analyzes the market for securities and financial instruments that may be attractive for portfolio investment. Due to the high demand for investing and trading, which is increasing every year, there is also a growing need for understanding the market, its structure and investment opportunities. The key points for investing are diversification and risk. As a result of the work, it will be proved how much diversification reduces the risk of investing. The most attractive portfolio for investment will be based on the distribution of the riskiness of the portfolio, depending on the risk tolerance of the investor himselfru_RU
dc.identifier.urihttps://nara.mnu.kz/handle/123456789/2628
dc.language.isoenru_RU
dc.publisherM. Narikbayev KAZGUU University International School of Economicsru_RU
dc.relation.ispartofseriesProgram 7M04124 - «Finance»;
dc.subjectSecurities market; Financial instruments; Portfolio investment; Diversification; Investment risk; Risk tolerance; Portfolio optimizationru_RU
dc.titleInvestment strategy in the portfolio investment marketru_RU
dc.typeMaster’s dissertationru_RU

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