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Exploiting value premium with a multi-metric approach in the United States stock market

datacite.subject.fosCiências Sociais::Economia e Gestãopt_PT
dc.contributor.advisorHirschey, Nicholas H.
dc.contributor.authorVasconcelos, Beatriz Carvalho de
dc.date.accessioned2025-02-26T12:28:16Z
dc.date.available2025-02-26T12:28:16Z
dc.date.issued2024-01-24
dc.date.submitted2023-12-20
dc.description.abstractThe purpose of this study is to analyze the performance and dynamics of varies investment strategies. The individual part focuses on the analysis of U.S. stock market’s value stocks’ superior performance over growth stocks between January 1987 and December 2022. Value (Growth) stocks are priced lower (higher) than the company’s fundamentals. A performance and factor analysis were evaluated concluding that strategies sorted on EV/EBIT and Book-to Market delivered a positive value premium. In the group part, diverse strategies were combined to form three portfolios: Equal-Weighted, Tangency and Global Minimum Variance to provide valuable insights for investors seeking to optimize their portfolios.pt_PT
dc.identifier.tid203866282pt_PT
dc.identifier.urihttp://hdl.handle.net/10362/179856
dc.language.isoengpt_PT
dc.relationUID/ECO/00124/2013pt_PT
dc.subjectFinancial marketspt_PT
dc.subjectPortfolio managementpt_PT
dc.subjectValue vs. growth investingpt_PT
dc.subjectValue premiumpt_PT
dc.subjectU.S. stock marketpt_PT
dc.subjectFundamental analysispt_PT
dc.titleExploiting value premium with a multi-metric approach in the United States stock marketpt_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 Finance from the Nova School of Business and Economicspt_PT

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