Scientific journal
Научное обозрение. Экономические науки
ISSN 2500-3410
ПИ №ФС77-57503

PORTFOLIO INVESTMENT RATIONALE OF PREVENTIVE

Barchan N.N. 1 Kostenkova N.К. 1 Suetin S.N. 1
1 Moscow Technological Institute «WTU (World Technological University)»
Due to the high level of uncertainty and volatility in financial markets seems relevant methodology developed and approved preventive investment. The aim of this work is to determine the essence, characteristics and directions for forming preventive investment. The main methods of the study should be considered as an analogy, analysis, synthesis, deduction and induction. This paper presents the author’s approach to high- and low-risk rationale investments made on preventive basis. The obtained results of the study can be used in the formation of investment strategies of private investors and professional participants of the stock market as well as in educational and scientific works in the field of financial management and investment. The main findings of this study are to implement the conclusions of the feasibility of up-front investment in liquid instruments based on the author’s methodology.