On statistical modeling of random distribution of funds against various conditions
Introduction. The survey simulates a number of real financial and economic processes in their extreme manifestation of no control (randomness) with some idealization (provided initial capitals are equal, interactions are linear by their multiplicative nature, working coefficients are arbitrary chose...
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| Main Authors: | Виктор Ассаул, Александр Головин, Игорь Погодин |
|---|---|
| Format: | Article |
| Language: | Russian |
| Published: |
Perm State University
2025-06-01
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| Series: | Вестник Пермского университета: Серия Экономика |
| Online Access: | https://economics.psu.ru/index.php/econ/article/view/253 |
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