[eng] Geographical portfolio diversification is a technique that consists on diversifying a securities portfolio through different economies or regions, in order to reduce the total risk on the portfolio. Therefore, the performance of the aforementioned approach will be studied throughout this paper from different perspectives, including a risk-to-return analysis and a risk-adverse outlook. Moreover, performance measures, as the Sharpe and Treynor ratio, and the Minimum Variance Portfolio theory, will be applied. The data used so as to develop this research will be based on a twenty years period (1993-2012), including periodic monthly returns of equity and fixed income indexes. Finally, both numerical and graphical results will be presented...
RESUMEN: Revisar la teoría existente acerca de la gestión y diversificación de carteras es el punto ...
textabstractThis paper features an analysis of the effectiveness of a range of portfolio diversifica...
Thesis (M.Com. (Risk Management))--North-West University, Potchefstroom Campus, 2009.Diversification...
The thesis uses return data on equities, bonds, commodities and real estate for the U.S., Europe, As...
RESUMEN: En el presente estudio se realiza un breve análisis de los factores que influyen en la gest...
RESUMEN: El objetivo de este trabajo será estudiar con detenimiento, explicando mediante la teoría y...
Credit risk has recently been identified as a cause of declining international diversification capac...
The work deals with the diversification of the stock portfolio. Diversification is the di-vision of ...
This paper gives an estimation of efficient frontiers for investment portfolios, they include stocks...
The objective of the study is to 1) examine the existence of portfolio diversification opportunities...
This thesis presents a technique for analysing the relationships between the number of securities in...
The Modern portfolio theory is considered to be one of the most significant approaches for portfolio...
This paper identified and examined the possible impacts of portfolio diversification strategy on the...
This thesis examines the potentials of geographic and sectoral diversification in Turkey. A Causalit...
We examine alternative approaches of measuring portfolio diversification, and test the empirical rel...
RESUMEN: Revisar la teoría existente acerca de la gestión y diversificación de carteras es el punto ...
textabstractThis paper features an analysis of the effectiveness of a range of portfolio diversifica...
Thesis (M.Com. (Risk Management))--North-West University, Potchefstroom Campus, 2009.Diversification...
The thesis uses return data on equities, bonds, commodities and real estate for the U.S., Europe, As...
RESUMEN: En el presente estudio se realiza un breve análisis de los factores que influyen en la gest...
RESUMEN: El objetivo de este trabajo será estudiar con detenimiento, explicando mediante la teoría y...
Credit risk has recently been identified as a cause of declining international diversification capac...
The work deals with the diversification of the stock portfolio. Diversification is the di-vision of ...
This paper gives an estimation of efficient frontiers for investment portfolios, they include stocks...
The objective of the study is to 1) examine the existence of portfolio diversification opportunities...
This thesis presents a technique for analysing the relationships between the number of securities in...
The Modern portfolio theory is considered to be one of the most significant approaches for portfolio...
This paper identified and examined the possible impacts of portfolio diversification strategy on the...
This thesis examines the potentials of geographic and sectoral diversification in Turkey. A Causalit...
We examine alternative approaches of measuring portfolio diversification, and test the empirical rel...
RESUMEN: Revisar la teoría existente acerca de la gestión y diversificación de carteras es el punto ...
textabstractThis paper features an analysis of the effectiveness of a range of portfolio diversifica...
Thesis (M.Com. (Risk Management))--North-West University, Potchefstroom Campus, 2009.Diversification...