Testing of asset and profit strategy through investment portfolio formation in Baltic States stock exchangeThe paper aims, after presenting the possibilities of investment portfolio formation according to the asset and profit strategy, to carry out the analysis of this strategy testing in the Baltic States stock market and to assess its efficiency. The research showed that acquiring the companies whose balance value, the net current asset value and the profit are relatively low, it is possible to achieve better results than the market’s. Periodically changing the investment portfolio composition and re-evaluating the companies, better results are achieved than when applying the “buy and hold” strategy. And the use of combi...
Fast development of informative technologies, convenient political situation (membership in the EU, ...
In my thesis I will try to compare the profitability of investment strategies based on the books of ...
Purpose: The research on the composition of the optimal securities portfolio, conducted for many yea...
The paper is based on the proceedings of the International Conference 'Business and Management 2006'...
The paper is based on the proceedings of the International Conference ‘Business and Management 2006’...
Šiame darbe atliekamas akcijų portfelio diversifikavimo galimybių tyrimas, remiantis autorių išskirt...
The main purpose of this Master’s Paper is to analyze the assets owned by the state of Lithuania and...
The main goal of this article is to illustrate the strategy, devised to improve the effectiveness of...
The aim of the research is to assess the efficiency of long-term investment strategies in the contex...
The aim of this thesis was to assess the efficiency of the stock market and based on to choose a sui...
Concluding work in master degree, 72 pages, 7 pictures, 31 tables, 64 literary sources,5 appendixes,...
The bachelor's final work analyses the creation of an investment portfolio for client X. The first p...
Sektorinės investicijos leidžia tikslingiau siekti asmeninių investuotojo tikslų, uždirbti didesnį p...
This thesis is dedicated to the stock markets issue. Its main aim was to assess the effectiveness of...
his article discusses the important issues in the selection and management of the investment port-fo...
Fast development of informative technologies, convenient political situation (membership in the EU, ...
In my thesis I will try to compare the profitability of investment strategies based on the books of ...
Purpose: The research on the composition of the optimal securities portfolio, conducted for many yea...
The paper is based on the proceedings of the International Conference 'Business and Management 2006'...
The paper is based on the proceedings of the International Conference ‘Business and Management 2006’...
Šiame darbe atliekamas akcijų portfelio diversifikavimo galimybių tyrimas, remiantis autorių išskirt...
The main purpose of this Master’s Paper is to analyze the assets owned by the state of Lithuania and...
The main goal of this article is to illustrate the strategy, devised to improve the effectiveness of...
The aim of the research is to assess the efficiency of long-term investment strategies in the contex...
The aim of this thesis was to assess the efficiency of the stock market and based on to choose a sui...
Concluding work in master degree, 72 pages, 7 pictures, 31 tables, 64 literary sources,5 appendixes,...
The bachelor's final work analyses the creation of an investment portfolio for client X. The first p...
Sektorinės investicijos leidžia tikslingiau siekti asmeninių investuotojo tikslų, uždirbti didesnį p...
This thesis is dedicated to the stock markets issue. Its main aim was to assess the effectiveness of...
his article discusses the important issues in the selection and management of the investment port-fo...
Fast development of informative technologies, convenient political situation (membership in the EU, ...
In my thesis I will try to compare the profitability of investment strategies based on the books of ...
Purpose: The research on the composition of the optimal securities portfolio, conducted for many yea...