This bachelor thesis deals with problems of investing in stock market. There are plenty of different approaches to investing into stocks, however methods used in this thesis belong among multi-criteria decision making methods. Such an aproach is not commonly used which provides an interesting point of view that differs from widely used methods. This thesis consists of theoretical background to market environment and stocks themselves and also of theoretical description of multi-criteria evaluation and multi-criteria programming. Specifically I use ELECTRE I method as multi-criteria evaluation and aggregation of linear functions as multi-criteria programming method. By using these two methods I create two different portfolios based on two se...
One of the key role of a portfolio manager is to identify a suitable asset allocation strategy. The ...
The objective of this thesis is to apply alternative multi-objective optimization techniques to the ...
One of the key role of a portfolio manager is to identify a suitable asset allocation strategy. The ...
This bachelor thesis deals with problems of investing in stock market. There are plenty of different...
This bachelor thesis aims to fulfill expectations of fictional investor, in other words choice of op...
The aim of this thesis is the selection of suitable investments (shares) for a particular investor a...
This bachelor thesis deals portfolio optimization mainly by multiple-criteria decision making. First...
Práce se zabývá problematikou tvorby investičního akciového portfolia a matematickými přístupy k jeh...
The diploma thesis deals with financial planning using the multi-criteria methods for evaluation of ...
The subject of the diploma paper is multiple criteria analysis of stocks traded on Prague Stock Exch...
The primary subject of this bachelor thesis is to expound an application of the multiple criteria de...
Cílem této bakalářské práce je sestavit investiční portfolio z akciových titulů pro dva typy investo...
The aim of this paper is the application of the multi criteria decision making theory in collective ...
The purpose of this thesis is to create optimised stock portfolios for two types of investors with d...
Metody wielokryterialne dają możliwość uporządkowania lub wyodrębnienia grup preferencji obiektów ch...
One of the key role of a portfolio manager is to identify a suitable asset allocation strategy. The ...
The objective of this thesis is to apply alternative multi-objective optimization techniques to the ...
One of the key role of a portfolio manager is to identify a suitable asset allocation strategy. The ...
This bachelor thesis deals with problems of investing in stock market. There are plenty of different...
This bachelor thesis aims to fulfill expectations of fictional investor, in other words choice of op...
The aim of this thesis is the selection of suitable investments (shares) for a particular investor a...
This bachelor thesis deals portfolio optimization mainly by multiple-criteria decision making. First...
Práce se zabývá problematikou tvorby investičního akciového portfolia a matematickými přístupy k jeh...
The diploma thesis deals with financial planning using the multi-criteria methods for evaluation of ...
The subject of the diploma paper is multiple criteria analysis of stocks traded on Prague Stock Exch...
The primary subject of this bachelor thesis is to expound an application of the multiple criteria de...
Cílem této bakalářské práce je sestavit investiční portfolio z akciových titulů pro dva typy investo...
The aim of this paper is the application of the multi criteria decision making theory in collective ...
The purpose of this thesis is to create optimised stock portfolios for two types of investors with d...
Metody wielokryterialne dają możliwość uporządkowania lub wyodrębnienia grup preferencji obiektów ch...
One of the key role of a portfolio manager is to identify a suitable asset allocation strategy. The ...
The objective of this thesis is to apply alternative multi-objective optimization techniques to the ...
One of the key role of a portfolio manager is to identify a suitable asset allocation strategy. The ...