The work carried out was devoted mainly to risk factors in the Russian stock and corporate bond markets, as well as to the study of the possibilities of practical application of knowledge about them to study the possibilities of collective investments and their analysis.

Full document

The PDF file did not load properly or your web browser does not support viewing PDF files. Download directly to your device: Download PDF document
Back to Top

Document information

Published on 23/09/22
Submitted on 15/09/22

Licence: CC BY-NC-SA license

Document Score


Views 0
Recommendations 0

Share this document

claim authorship

Are you one of the authors of this document?