RISK MANAGEMENT AND REGULATION OF INSTITUTIONAL INVESTORS’ INTERNATIONAL PORTFOLIOS

Authors

DOI:

https://doi.org/10.60022/2(8)-23S

References

Published

2025-11-15

How to Cite

Lytvyn , O., & Ganenko , A. (2025). RISK MANAGEMENT AND REGULATION OF INSTITUTIONAL INVESTORS’ INTERNATIONAL PORTFOLIOS. Current Problems of Sustainable Development, 2(8), 192-202. https://doi.org/10.60022/2(8)-23S