During the past few years, there have been several studies for portfolio management. One of the primary concerns on any stock market is to detect the risk associated with various assets. One of the recognized methods in order to measure, to forecast, and to manage the existing risk is associated with Value at Risk (VaR), which draws much attention by financial institutions in recent years. VaR is a method for recognizing and evaluating of risk, which uses the standard statistical techniques and the method has been used in other fields, increasingly. The present study has measured the value at risk of 26 companies from chemical industry in Tehran Stock Exchange over the period 2009-2011 using the simulation technique of Monte Carlo with 95% ...
ABSTRACTThe thesis work documented here, is a study of basic methods for estimating Value at Risk, w...
Calculation of the Value at Risk (VaR) measure, of a portfolio, can be done using Monte Carlo simula...
One of the most popular investments among investors is investing in shares in the capital market. Ca...
Value at Risk (VaR) is a common statistical method that has been used recently to measure market ri...
This study attempts to use value at risk method (VAR) as risk measurement criterion in formation of ...
Portfolio risk shows the large deviations in portfolio returns from expected portfolio returns. Valu...
<p><em>Value at Risk (VaR) is the maximum potential loss on a portfolio based on the probability at ...
This study analyzes the application of Value at Risk (VaR) in estimating the risk of investment in b...
In investing, all investors must be faced with risk that must be borne. Therefore, to determine the ...
Value at Risk (VaR) is a risk measurement technique, that measures the risk associated with a portfo...
Value at Risk (VaR) as a method of risk measurement is a part of risk management. Value at Risk is d...
The paper deals with Monte Carlo simulation method and its application in Risk Management. The autho...
This dissertation undertakes a comprehensive framework of the new risk management tool known as Valu...
Value at Risk (VaR) is the regulatory measurement for assessing market risk. It reports the maximum ...
Value at risk is risk management tool for measuring and controlling market risks. Through this paper...
ABSTRACTThe thesis work documented here, is a study of basic methods for estimating Value at Risk, w...
Calculation of the Value at Risk (VaR) measure, of a portfolio, can be done using Monte Carlo simula...
One of the most popular investments among investors is investing in shares in the capital market. Ca...
Value at Risk (VaR) is a common statistical method that has been used recently to measure market ri...
This study attempts to use value at risk method (VAR) as risk measurement criterion in formation of ...
Portfolio risk shows the large deviations in portfolio returns from expected portfolio returns. Valu...
<p><em>Value at Risk (VaR) is the maximum potential loss on a portfolio based on the probability at ...
This study analyzes the application of Value at Risk (VaR) in estimating the risk of investment in b...
In investing, all investors must be faced with risk that must be borne. Therefore, to determine the ...
Value at Risk (VaR) is a risk measurement technique, that measures the risk associated with a portfo...
Value at Risk (VaR) as a method of risk measurement is a part of risk management. Value at Risk is d...
The paper deals with Monte Carlo simulation method and its application in Risk Management. The autho...
This dissertation undertakes a comprehensive framework of the new risk management tool known as Valu...
Value at Risk (VaR) is the regulatory measurement for assessing market risk. It reports the maximum ...
Value at risk is risk management tool for measuring and controlling market risks. Through this paper...
ABSTRACTThe thesis work documented here, is a study of basic methods for estimating Value at Risk, w...
Calculation of the Value at Risk (VaR) measure, of a portfolio, can be done using Monte Carlo simula...
One of the most popular investments among investors is investing in shares in the capital market. Ca...