Gorelik, V. A., & Zolotova, T. V. (2024). Method for Determining the Risk Profile of Investors Based on the Relationship of Two Stock Investing Problems. Finansy: teoriâ i praktika (Online), 28(4), 136-143. https://doi.org/10.26794/2587-5671-2024-28-4-136-143
Chicago Style (17th ed.) CitationGorelik, V. A., and T. V. Zolotova. "Method for Determining the Risk Profile of Investors Based on the Relationship of Two Stock Investing Problems." Finansy: Teoriâ I Praktika (Online) 28, no. 4 (2024): 136-143. https://doi.org/10.26794/2587-5671-2024-28-4-136-143.
MLA (9th ed.) CitationGorelik, V. A., and T. V. Zolotova. "Method for Determining the Risk Profile of Investors Based on the Relationship of Two Stock Investing Problems." Finansy: Teoriâ I Praktika (Online), vol. 28, no. 4, 2024, pp. 136-143, https://doi.org/10.26794/2587-5671-2024-28-4-136-143.