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Investment Strategy on the Zagreb Stock Exchange Based on Dynamic DEA (CROSBI ID 206542)

Prilog u časopisu | izvorni znanstveni rad | međunarodna recenzija

Škrinjarić, Tihana Investment Strategy on the Zagreb Stock Exchange Based on Dynamic DEA // Croatian economic survey, 16 (2014), 129-160. doi: 10.15179/ces.16.1.5

Podaci o odgovornosti

Škrinjarić, Tihana

engleski

Investment Strategy on the Zagreb Stock Exchange Based on Dynamic DEA

Nowadays, there is a growing interest in the application of quantitative methods in portfolio management, as the results of their application can be used as guidelines for managing a successful investment portfolio, i.e., a portfolio that outperforms the market. This paper deals with the Data Envelopment Analysis (DEA) approach and a Dynamic Slacks-Based Measure as a method of forming a portfolio which would predominantly outperform the market. In order to test the strategy, data on stocks listed on the Zagreb Stock Exchange were gathered for the period April 2009 – June 2012. Using the quarterly returns, standard deviations and coefficients of skewness as links, a dynamic slacks-based measure approach was applied to evaluate the relative efficiency of stocks in each quarter. The findings indicate that a portfolio based on the results of the optimization beats the market in terms of both returns and risk. This is the first implementation of the dynamic DEA model in stock trading. The results suggest that it is superior to basic DEA models.

Dynamic Slacks-Based Measure (DSBM); Data Envelopment Analysis (DEA); portfolio; stock market; Zagreb Stock Exchange

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Podaci o izdanju

16

2014.

129-160

objavljeno

1330-4860

10.15179/ces.16.1.5

Povezanost rada

Ekonomija, Matematika

Poveznice
Indeksiranost