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Formation & Evaluation of Financial Investments

Author Buracas Antanas, Urb Ien, Zabinskas Paulius
Publisher LAP Lambert Academic Publishing
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Book Details
ISBN / ASIN384849440X
ISBN-139783848494408
AvailabilityUsually ships in 1 to 4 weeks
Sales Rank99,999,999
MarketplaceUnited States 🇺🇸

Description

The study is dedicated to the analytical approaches and application of the instruments recommended for the formation of finance instruments and evaluation of their feasibility (sample of NASDAQ OMX Baltic securities). The financial sector as a generator of sustainable development is at the same time an important instability determinant influencing the risk of adverse economic recession. The first part (Laima Urbšienė, Aliona Matvejeva) is investigating the relationship & trends in variables that may capture the impact of stock market development on economic growth, by employing Granger causality test and OLS regression to test hypothesis. In the second part (Paulius Zabinskas, Antanas Buracas), the portfolio optimization management is analyzed with account of different risk levels, management strategies. The five types of portfolios for the 2007 - 2012 were analyzed what revealed that there is more important to minimize investment risks instead of trying to find the best expected return versus risk ratio point during instable periods in the market.