Leandro Araújo Wickboldt, Polyandra Zampiere Pessoa da Silva, G. C. Xavier
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引用次数: 0
摘要
背景:jo o是Assert s.a.的初级分析师,他面临的挑战是为2018年7月在美国分配1000万美元资本准备一份投资建议报告。因此,jo将不得不根据金融理论来证明他的报告是正确的,这些理论是投资组合的形成和风险x回报比率。此外,您还需要使用可靠的数据源和分析软件。教学目标:理解和应用投资分析概念,特别是制定股票投资策略。案例,说明性的并应用于金融,提供了自由软件r中的脚本。因此,它允许对所做的决定进行分析,并邀请实现其他类似的练习。数据来源:案例是虚构的,但数据是真实的,来自世界各地的主要金融提供商。所提供的脚本(附录)指导在R软件中收集和处理数据,R软件是金融研究中使用最多的软件之一。建议对该工具有基本的先验知识,并提供了参考文献来源。适用性:案例提供了理论和Teoria e Prática em administration - ,第10期,第2段,第169-182页。170方法分析股票和指数在全球资本市场,让本科生或研究生体验市场分析师的现实。通常涉及这些内容的课程是资本市场、投资分析和公司财务。
Recomendação de Investimento: Analisando Carteiras com Beta e Value-at-Risk (VaR) Dinâmicos no Software R
Context: João, junior analyst at Assert S.A., is challenged to prepare an investment recommendation report for the allocation of US$ 10 million capital in the United States in July 2018. Therefore, João will have to justify his report based on in finance theories, which are the formation of portfolios and the risk x return ratio. In addition, you will need to use reliable data sources and analysis software. Teaching goals: Understand and apply investment analysis concepts, especially formulating stock investment strategies. The case, illustrative and applied in finance, provides the script in the free software R. Thereby, it allows the analysis of the decisions taken and invites the realization of other similar exercises. Data source: The case is fictitious, but the data are real, obtained from the main financial providers worldwide. The provided script (APPENDIX) instructs the collection and processing of data in the R software, which is one of the most used in finance research. Basic prior knowledge of the tool is recommended, for which bibliographic sources are provided. Applicability: The case provides the theory and Teoria e Prática em Administração, v. 10, n. 2 , p. 169-182. 170 methodology for the analysis of stocks and indices in the global capital markets, allowing undergraduate or graduate students to experience the reality of a market analyst. The courses that typically address these contents are Capital Markets, Investment Analysis and Corporate Finance.