Integrating a risk-oriented approach into bank investment management under market volatility

In the current context of heightened financial market volatility and growing instability of the investment environment, the issue of enhancing the efficiency of bank investment management has become increasingly critical. A limited consideration of risk in decision-making undermines the objectivity...

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Bibliographic Details
Main Author: V. V. Shlonchak
Format: Article
Language:English
Published: Zhytomyr Polytechnic State University 2025-07-01
Series:Економіка, управління та адміністрування
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Online Access:https://ema.ztu.edu.ua/article/view/327755
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