1. Bank of Russia, Guideline 3624-U "On the requirements for the risk management and capital management system of a credit institution and a banking group" (with amendments and additions). 2015.
2. Gazetova M.A. The concept and methods of portfolio investment. Nauchno-metodicheskii elektronnyi zhurnal «Kontsept» = Scientific and methodological electronic journal "Concept”. 2016;6:31-35. URL: http://e-koncept.ru/2016/56042.htm. (in Russ.).
3. Kazakov V.A., Tarasov A.V., Zubitsky A.B. Theoretical Aspects of Portfolio Investment Implementation. Finansy i kredit = Finance and Credit. 2016;7(211):27-32 (in Russ.).
4. Markowitz H. Portfolio Selection. The Journal of Finance. 1952;7(1):77-91. https://doi.org/10.1111/j.1540-6261.1952.tb01525.x
5. Merton R. Continuous-time Finance. Oxford, U.K.: Basil Blackwell; 1990. 535 р.