Methods of managing a portfolio of financial assets in the construction industry

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The scientific article is devoted to conducting a research analysis of the characteristics and features of the main methods used in optimizing the management of a portfolio of financial assets of organizations in the construction industry, where the goal is to increase profitability. The relevance of the study on the chosen topic is due to the fact that the effectiveness of the investment activities of organizations in the construction industry, which use available funds for financial investments in order to increase income, depends on the effectiveness of the practice of managing a portfolio of financial assets. The article examines the theoretical aspects of portfolio management of financial assets. Effective methods for optimizing the management of a portfolio of financial assets in the construction industry have been identified. In conclusion of the article, the author has established that the procedure for optimizing the management of a portfolio of financial assets of a construction industry organization contributes to solving problems aimed at using free cash while increasing income.

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Portfolio of financial assets, portfolio of financial investments, portfolio management, construction industry organizations, portfolio management optimization, portfolio optimization methods, profit maximization

Короткий адрес: https://sciup.org/142240966

IDR: 142240966   |   DOI: 10.17513/vaael.3488

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