05.13.17; 01.01.09 (Theoretical foundation for informatics; Discrete mathematics and mathematical cybernetics)
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Main publications:
Modeli otsenki kollektivnogo i sistemnogo riska / V. A. Gorelik, T. V. Zolotova ; - Moskva : Vychislitelnyi tsentr im. A. A. Dorodnitsyna (VTs RAN), 2011. - 162, [1] s.; 20 sm.; ISBN 978-5-91601-048-0
Teoriya prinyatiya reshenii : ucheb. pos. dlya studentov ... po profilyu "Analiz i upravlenie riskami" (uroven magistratury) / T. V. Zolotova ; FGBOU VPO "Finansovyi un-t pri Pravitelstve Rossiiskoi Federatsii", Kaf. prikladnoi matematiki. - Moskva : Finansovyi un-t, 2014. - 215 s. : il.; 20 sm.; ISBN 978-5-7942-1221-1
Metody prinyatiya upravlencheskikh reshenii : uchebnik / T. V. Zolotova. - Moskva : KNORUS, 2017. - 343 s.; ISBN 978-5-406-05697-4
V. A. Gorelik, T. V. Zolotova, “Methods for determining optimal mixed strategies in matrix games with correlated random payoffs”, Chebyshevskii Sb., 24:4 (2023), 33–47
2022
2.
V. A. Gorelik, T. V. Zolotova, “The total method of Chebyshev interpolation in the problem of constructing a linear regression”, Chebyshevskii Sb., 23:4 (2022), 52–63
Victor A. Gorelik, Tatiana V. Zolotova, “A class of game models with equilibrium, stable and pareto-optimal solutions”, Mat. Teor. Igr Pril., 14:4 (2022), 24–44
2021
4.
Victor A. Gorelik, Tatiana V. Zolotova, “Hierarchical games with additive payoff functions combining public and private interests”, Mat. Teor. Igr Pril., 13:4 (2021), 3–17
V. A. Gorelik, T. V. Zolotova, “Models of hierarchial control in ecological-economic systems”, Contemporary Mathematics and Its Applications, 95 (2015), 11–25; Journal of Mathematical Sciences, 216:5 (2016), 612–626
V. A. Gorelik, T. V. Zolotova, “Problem of selecting an optimal portfolio with a probabilistic risk function”, Contemporary Mathematics and Its Applications, 95 (2015), 3–10; Journal of Mathematical Sciences, 216:5 (2016), 603–611
V. A. Gorelik, T. V. Zolotova, “On some estimations of share market stability and the influence of investors' information awareness on them”, Probl. Upr., 2013, no. 6, 41–47
2012
9.
V. A. Gorelik, T. V. Zolotova, “General approach to modelling procedures of risk management and its application to stochastic hierarchical systems”, UBS, 37 (2012), 5–24
2011
10.
V. A. Gorelik, T. V. Zolotova, “Some questions of estimation of investors' portfolios correlation moments”, Probl. Upr., 2011, no. 3, 36–42
T. V. Zolotova, “Corporate model of interests coordination in view of ecological factors”, Probl. Upr., 2009, no. 4, 24–31; Automation and Remote Control, 71:5 (2010), 961–970
12.
T. V. Zolotova, “Issues of interests coordination in regional hierarchical model of natural resources preservation”, UBS, 26 (2009), 81–101