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  • 标题:Risk Management by Choosing Stock in Portfolio
  • 本地全文:下载
  • 作者:Waqas Khaliq Bhatti
  • 期刊名称:European Journal of Business and Management
  • 印刷版ISSN:2222-2839
  • 电子版ISSN:2222-2839
  • 出版年度:2016
  • 卷号:8
  • 期号:1
  • 页码:15-20
  • 语种:English
  • 出版社:The International Institute for Science, Technology and Education (IISTE)
  • 摘要:Portfolio Management requires a process that engages the expertise of the various stake holders in the organization and a system to provide the analytical support for the process. A well-thought-out process tailored for the organization takes care of the people issues and ensures buy-in for the selected portfolio strategy. Most of the existing portfolios are not developed to handle a portfolio of assets /securities when considering risks and opportunities. This is due to the fact that the expertise required developing portfolio of assets /securities are not processed by individual. When using these single portfolio processes, it is up to the experience of the organization and foremost project managers to find links between assets/securities in portfolio. The scope of a single security investment seems insufficient, and a more holistic. Therefore, existing risk management processes are considered insufficient due to the focus on a single asset/security risk management. In this study it is tried to conclude different levels of risks and opportunities within a portfolio of assets/Securities that can be managed by identifying positive or negative relation between each other.
  • 关键词:Portfolio; Risk; Risk Management; Stock Prices
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