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Analysis of the income factor - the Portuguese vase

datacite.subject.fosCiências Sociais::Economia e Gestãopt_PT
dc.contributor.advisord’Arienzo, Daniele
dc.contributor.advisorOliveira, Adérito João
dc.contributor.advisorSilva, Tomás Neves da
dc.contributor.authorPite, Teresa Palma
dc.date.accessioned2023-08-03T13:25:22Z
dc.date.available2023-08-03T13:25:22Z
dc.date.issued2023-01-13
dc.date.submitted2023-01-10
dc.description.abstractThis consulting project, Client risk profile – the Portuguese case, commissioned by BPI Asset Management, investigates the most relevant factors affecting the risk aversion of Portuguese investors. Using qualitative and quantitative research methods, we pinpoint the reasons why the average Portuguese citizen tends to be excessively risk-averse compared to its European peers. The quantitative analysis was based on our survey’s results. A multiple linear regression using different factor variables allowed us to analyze the effect of each factor on the Portuguese investor’s risk aversion and the correlation between them. After that, different portfolios were designed for different risk profiles, maximizing return while respecting to the maximum drawdown desired by the investors. In the end, a deeper dive on each factor is exposed for better understanding on its effect on risk aversion.pt_PT
dc.identifier.tid203311507pt_PT
dc.identifier.urihttp://hdl.handle.net/10362/156235
dc.language.isoengpt_PT
dc.relationUID/ECO/00124/2013pt_PT
dc.subjectIncome distributionpt_PT
dc.subjectIncome disparitiespt_PT
dc.subjectBpi fundspt_PT
dc.subjectFunds allocationpt_PT
dc.titleAnalysis of the income factor - the Portuguese vasept_PT
dc.typemaster thesis
dspace.entity.typePublication
rcaap.rightsopenAccesspt_PT
rcaap.typemasterThesispt_PT
thesis.degree.nameA Work Project, presented as part of the requirements for the Award of a Master’s degree in International Finance from the Nova School of Business and Economicspt_PT

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