New method maximizes stock portfolio profits while managing risk effectively.
The article discusses how to create a mix of investments (like stocks) to get the most profit while managing risk. By using different financial models, the researchers found that a portfolio with high returns also has high risks, while safer portfolios have lower returns. They tested this method on real investments and found that it works well, helping investors choose the best mix of stocks for their goals. This study provides a way to build a strong investment portfolio in the uncertain Ukrainian stock market.