Portfolio Diversification
Diversifikace portfolia
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České vysoké učení technické v Praze
Czech Technical University in Prague
Czech Technical University in Prague
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Abstract
Tato bakalářská práce se zabývá problematikou vytváření diverzifikovaného portfolia. Teorie vychází z teorie moderního Markowitzova portfolia. Zprvu je rozebírána samotná teorie portfolia a potřebná statistická matematika. Následně práce obsahuje finanční prostředky pro vytváření portfolia. Součástí je také sestavení otázek pro investora k zjištění jeho preferencí. Výsledkem je propojení celé práce pomocí programu Excel a poté je vytvořeno investorovo portfolio.
This bachelor work is concern on problematic of creating diversified portfolio. Mainly part of theory comes from Markowitz´s modern portfolio theory. At first are analysed portfolio theory and necessary statistic math. Afterwards work consists financial possibilities which we have in creation of a portfolio. It also contains composing of questions for investor to find out investor´s preference. Finally output is link of the whole work with program Excel and then investor´s portfolio is created.
This bachelor work is concern on problematic of creating diversified portfolio. Mainly part of theory comes from Markowitz´s modern portfolio theory. At first are analysed portfolio theory and necessary statistic math. Afterwards work consists financial possibilities which we have in creation of a portfolio. It also contains composing of questions for investor to find out investor´s preference. Finally output is link of the whole work with program Excel and then investor´s portfolio is created.