Analysis of factors affecting modern stock markets

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Abstract

The main attraction of stock instruments is the opportunity to make a profit. The prices of a financial asset in the securities market are formed under the influence of a variety of factors, with often multidirectional impact. The objective of the paper is to study and analyze the factors affecting securities and identify those that will effectively predict the dynamics of financial markets. The authors concluded that for the adoption of effective strategic decisions in the field of portfolio investment, portfolio management of financial instruments, the mathematical models have to be applied. The paper presents investment decisions using computer technical analysis. The obtained research results are practical in nature and can be used in investment, analytical, valuation and portfolio activities related to effective investment in securities.

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APA

Bodrov, R. G., Nikonova, T. V., Yusupova, L. M., Kodolova, I. A., & Pashkeev, A. V. (2018). Analysis of factors affecting modern stock markets. Journal of Social Sciences Research, 2018(Special Issue  5), 250–255. https://doi.org/10.32861/jssr.spi5.250.255

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