Markowitz' Model with Fundamental and Technical Analysis – Complementary Methods or Not

نویسنده

  • Branka Marasović
چکیده

Abstract As it is well known there are few “starting points” in portfolio optimization process, i.e. in the stock selection process. Famous Markowitz’ optimization model is unavoidable in this job. On the other side, someone may say that the indicators of the fundamental analysis must be the starting point. Beside that, the suggestions of the technical analysis must be taken into consideration. There are really numerous studies of the each approach separately, but it is almost impossible to find researches combining these approaches in logic and efficient unity.

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تاریخ انتشار 2011