A Methodology for Determination of the Risk-Benefit Ratio of an Investment Project Based on the Volatility Rate and Integrated Indicator of the Environment Dynamics

M. Doroshenko
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Abstract

: The subject of the paper is a methodology for determination of the risk-benefit ratio of an investment project. The purpose of this study is to provide investors with practical tools for assessing the numerical values of the risk-benefit ratio of an investment project based on the calculation of the volatility rate and the integrated indicator of the environment dynamics. The main result is a method of determining the risk-benefit ratio of the investment project on the basis of the volatility rate and the integrated indicator of the environment dynamics, which is advisable to use in determining the costs of investing in projects.
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基于环境动态波动率和综合指标的投资项目风险收益比确定方法
本文的主题是确定投资项目风险收益比的方法。本研究的目的是在计算波动率和环境动态综合指标的基础上,为投资者提供评估投资项目风险收益比数值的实用工具。主要结果是一种基于波动率和环境动态综合指标确定投资项目风险收益比的方法,可用于确定项目投资成本。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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