How many stocks are sufficient for equity portfolio diversification? : a review of the literature
Year of publication: |
2021
|
---|---|
Authors: | Zaimovic, Azra ; Omanovic, Adna ; Arnaut-Berilo, Almira |
Published in: |
Journal of risk and financial management : JRFM. - Basel : MDPI, ISSN 1911-8074, ZDB-ID 2739117-6. - Vol. 14.2021, 11, Art.-No. 551, p. 1-30
|
Subject: | portfolio size | diversification | asset allocation | stocks | systematic risk | unsystematic risk | Portfolio-Management | Portfolio selection | Risiko | Risk | Diversifikation | Diversification | Kapitaleinkommen | Capital income | Portfoliodiversifikation | Portfolio diversification | Theorie | Theory | Aktienmarkt | Stock market | Kapitalmarktrendite | Capital market returns | CAPM |
-
Economic value of portfolio diversification : evidence from international multi-asset portfolios
Sharma, Prateek, (2017)
-
The effects of multilateral trading systems on risk and return in equity markets
Ramiah, Vikash, (2015)
-
Risk, return and international portfolio diversification : K-means clustering data
Dziuba, Pavlo, (2022)
- More ...
-
How many stocks are sufficient for equity portfolio diversification? A review of the literature
Zaimovic, Azra, (2021)
-
Zaimovic, Azra, (2025)
-
Omanovic, Adna, (2024)
- More ...