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dc.contributor.authorDiyarbakirlioǧlu, Erkin
dc.contributor.authorSatman, Mehmet Hakan
dc.date.accessioned2021-03-06T13:14:46Z
dc.date.available2021-03-06T13:14:46Z
dc.date.issued2013
dc.identifier.citationDiyarbakirlioǧlu E., Satman M. H. , "The Maximum Diversification Index", JOURNAL OF ASSET MANAGEMENT, cilt.14, ss.400-409, 2013
dc.identifier.othervv_1032021
dc.identifier.otherav_f7b22692-f2a2-4e86-84d2-0d3a626843b5
dc.identifier.urihttp://hdl.handle.net/20.500.12627/162244
dc.identifier.urihttps://www.scopus.com/inward/record.uri?partnerID=HzOxMe3b&scp=84894515839&origin=inward
dc.identifier.urihttps://doi.org/10.1057/jam.2013.28
dc.description.abstractWe propose a new method to assess the risk diversification potential of a given investment set, using only the information content of the covariance matrix of returns. Namely, we extend Rudin and Morgan's (2006) work to numerically solve for the 'Maximum Diversification Index' by means of a genetic algorithm. Using stock returns data from the S&P-500 index, we show that the MDI can be efficiently implemented to delimit a large set of investable assets by eliminating those subjects that do not improve the diversification characteristics of the underlying portfolio pool. Indeed, a subset of the S&P-500 stocks obtained using the MDI procedure preserves the mean-variance properties of the initial dataset as shown by the ex-post efficient frontiers.
dc.language.isoeng
dc.subjectSosyal Bilimler (SOC)
dc.subjectÇalışma Ekonomisi ve Endüstri ilişkileri
dc.subjectİŞ FİNANSI
dc.subjectEkonomi ve İş
dc.subjectSosyal ve Beşeri Bilimler
dc.subjectÇalışma Ekonomisi
dc.titleThe Maximum Diversification Index
dc.typeMakale
dc.relation.journalJOURNAL OF ASSET MANAGEMENT
dc.contributor.departmentUniversité Paris-Est Créteil , ,
dc.identifier.volume14
dc.identifier.issue6
dc.identifier.startpage400
dc.identifier.endpage409
dc.contributor.firstauthorID671402


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