PRINCIPLES OF STOCK PORTFOLIO MANAGEMENT FOR INDIVIDUAL INVESTOR

Aliya Tussayeva


Аннотация


The article deals with the management of equity risk in the US market. We investigate methods of diversification, the method of using a simplified version of the index and invest in securities, depending on the coefficient “beta” and the company’s capitalization. The paper provides guidance on the easy and simple way of investing that will not use the services of professional intermediaries.

Ключевые слова


investing; stock market index; the coefficient “beta”; investing in companies with high ca- pitalization

Полный текст:

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Литература


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(c) 2016 International Journal of Advanced Studies



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ISSN 2328-1391 (print), ISSN 2227-930X (online)