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Achieving academic leadership through teaching mathematical methods in economics and finance

机译:通过在经济学和金融中教学数学方法来实现学术领导

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This paper is devoted to ensuring the achievement of academic leadership on the market of educational services and for the sustainable development of higher education in the future. It is quite common that various optimization problems with linear constraints on variables often arise in economics and finance. We present an educational method (in fact, a blueprint of a course) which explains financial and economic problems taking into account modern achievements in mathematical computer modeling. As an example, we outline an educational approach which teaches portfolio investments theory using mathematical optimization methods. The educational approach proposed and formulated in this paper allows us to provide the market with professionals, who possess fluent knowledge of the methods used for investing and construction of an optimal securities portfolio, and, most importantly, are capable of further self-development of their skills and knowledge in this field.
机译:本文致力于确保在未来的教育服务市场和可持续发展中实现学术领导。很常见的是,在经济学和金融中通常出现具有线性约束的各种优化问题。我们提出了一种教育方法(实际上,课程的蓝图),解释了在数学计算机建模中考虑了现代成就的财务和经济问题。例如,我们概述了一种教育方法,使用数学优化方法教导投资组合投资理论。本文提出和制定的教育方法使我们能够提供与专业人士提供流利知识,该专业人士对投资和建造最优证券组合的方法,最重要的是能够进一步自我发展该领域的技能和知识。

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