Risk management in internationally diversified portfolio and its foreign exchange risk mitigation – Anna Vasylchenko
Anna Vasylchenko
Master's thesis
Risk management in internationally diversified portfolio and its foreign exchange risk mitigation
Risk Management in Internationally Diversified Portfolio and Foreign Exchange Risk Mitigation
Anotácia:
The main focus the submitted thesis “Risk Management in Internationally Diversified Portfolio and Foreign Exchange Risk Mitigation” is to analyze and determine the optimal structure of internationally diversified portfolio based on nine stock market indices during a specific period of time. For the purposes of this work, a US investor who is rational and risk-averse will be considered during the analytical …viacAbstract:
The main focus the submitted thesis “Risk Management in Internationally Diversified Portfolio and Foreign Exchange Risk Mitigation” is to analyze and determine the optimal structure of internationally diversified portfolio based on nine stock market indices during a specific period of time. For the purposes of this work, a US investor who is rational and risk-averse will be considered during the analytical …viac
Jazyk práce: English
Datum vytvoření / odevzdání či podání práce: 19. 11. 2019
Identifikátor:
http://www.vse.cz/vskp/eid/80886
Obhajoba závěrečné práce
- Obhajoba proběhla 10. 6. 2020
- Vedúci: Karel Brůna
- Oponent: Ján Boháčik
Citační záznam
Plný text práce
Obsah online archivu závěrečné práce
Zveřejněno v Theses:- autentizovaným zaměstnancům ze stejné školy/fakulty
Jak jinak získat přístup k textu
Instituce archivující a zpřístupňující práci: Vysoká škola ekonomická v Prazehttp://www.vse.cz/vskp/eid/80886
Vysoká škola ekonomická v Praze
Master programme:
Finance and Accounting
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