This paper examines the strategy of investing in selected East European stock markets: The Czech Republic, Hungary, and Poland. These stocks markets are representative of the emerging stock markets of Eastern Europe and examined from the perspective of an investor who invests solely in the Eastern European markets. International Portfolio investment gradually increased during the late 2000’s in this region. Four portfolio construction techniques were used including the Markowitz mean-variance analysis. The optimal portfolios are evaluated using standard selection criteria and it is shown that possessing a diversified international portfolio which includes some of the aforementioned stock markets is beneficial.Portfolio diversification; Mark...
This paper features an analysis of the effectiveness of a range of portfolio diversification strateg...
Uspješno upravljanje financijskim instrumentima u smislu što većeg prinosa i svođenja prihvatljivog ...
Markowitzeva moderna teorija portfelja je baza koju investitori često koriste prilikom donošenja odl...
Risk captured through the volatility of stock markets stands as the essential concern for financial ...
The main focus the submitted thesis “Risk Management in Internationally Diversified Portfolio and Fo...
In this paper, we study the benefits derived from international diversification of stock portfolios ...
__Abstract__ is paper features an analysis of the effectiveness of a range of portfolio diversifi...
The goal of this paper is to analyse the international diversification of risk through portfolio div...
Literatura dotycząca inwestycji portfelowych jest zdominowana przez problem napływu inwestycji do p...
The thesis is devoted to the application of models aimed at finding the optimal (from the point of v...
This paper examines the European investment implications of the recent European Union (EU) expansion...
In this paper, we study the benefits derived from international diversification of stock portfo-lios...
In this paper we study the benefits derived from international diversification of stock portfolios f...
Risk captured through the volatility of stock markets stands as the essential concern for financial ...
This paper: (i) examines the potential benefits from diversifying into eight stock markets of Centra...
This paper features an analysis of the effectiveness of a range of portfolio diversification strateg...
Uspješno upravljanje financijskim instrumentima u smislu što većeg prinosa i svođenja prihvatljivog ...
Markowitzeva moderna teorija portfelja je baza koju investitori često koriste prilikom donošenja odl...
Risk captured through the volatility of stock markets stands as the essential concern for financial ...
The main focus the submitted thesis “Risk Management in Internationally Diversified Portfolio and Fo...
In this paper, we study the benefits derived from international diversification of stock portfolios ...
__Abstract__ is paper features an analysis of the effectiveness of a range of portfolio diversifi...
The goal of this paper is to analyse the international diversification of risk through portfolio div...
Literatura dotycząca inwestycji portfelowych jest zdominowana przez problem napływu inwestycji do p...
The thesis is devoted to the application of models aimed at finding the optimal (from the point of v...
This paper examines the European investment implications of the recent European Union (EU) expansion...
In this paper, we study the benefits derived from international diversification of stock portfo-lios...
In this paper we study the benefits derived from international diversification of stock portfolios f...
Risk captured through the volatility of stock markets stands as the essential concern for financial ...
This paper: (i) examines the potential benefits from diversifying into eight stock markets of Centra...
This paper features an analysis of the effectiveness of a range of portfolio diversification strateg...
Uspješno upravljanje financijskim instrumentima u smislu što većeg prinosa i svođenja prihvatljivog ...
Markowitzeva moderna teorija portfelja je baza koju investitori često koriste prilikom donošenja odl...