Optimal Portfolio Rebalancing Strategy - Evidence from Finnish Stocks (Paperback)


Portfolio rebalancing is an established concept in portfolio management and investing generally. Assets within a portfolio have different return and risk prospects, and this inevitably leads them to drift away from their initial allocation weights overtime. Portfolio rebalancing is arguably the only method by which such assets can be reset to their initial weights, thus ensuring the portfolio reflects the risk appetite of the investor. The analysis of an equally weighted portfolio of 19 Finnish stocks from the Helsinki OMX25 index over the study period of May, 2000 to April, 2010 proved, amongst other things, that rebalancing provides rewards in terms of improved returns compared to not rebalancing at all.

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Product Description

Portfolio rebalancing is an established concept in portfolio management and investing generally. Assets within a portfolio have different return and risk prospects, and this inevitably leads them to drift away from their initial allocation weights overtime. Portfolio rebalancing is arguably the only method by which such assets can be reset to their initial weights, thus ensuring the portfolio reflects the risk appetite of the investor. The analysis of an equally weighted portfolio of 19 Finnish stocks from the Helsinki OMX25 index over the study period of May, 2000 to April, 2010 proved, amongst other things, that rebalancing provides rewards in terms of improved returns compared to not rebalancing at all.

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Product Details

General

Imprint

Lap Lambert Academic Publishing

Country of origin

Germany

Release date

August 2010

Availability

Expected to ship within 10 - 15 working days

First published

August 2010

Authors

Dimensions

229 x 152 x 4mm (L x W x T)

Format

Paperback - Trade

Pages

64

ISBN-13

978-3-8383-9961-4

Barcode

9783838399614

Categories

LSN

3-8383-9961-7



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