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A Study on Portfolio Insurance Strategies on Indian Equity (Nifty 50)

机译:印度股权投资组合保险策略研究(漂亮50)

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摘要

Portfolio Insurance Strategies are the investment strategies used by the investors to avoid their losses by using various financial instruments such as equites and debts and derivative are combined in such a way that degradation of portfolio value is protected. It is a dynamic hedging strategy which uses stock index. It implies buying and selling securities periodically to maintain limit of the portfolio value. The working of portfolio insurance is similar to buying an index put option and can also be done by using listed index options. Due to the possibility of gaining advantages from these strategies, investor can opt these strategies according to the market conditions to maximize their returns. The study focuses on eight Portfolio Insurance Strategies: Synthetic Call, Covered Call, Long Combo, Synthetic Put, Covered Put, Long Straddle, Short Straddle, Long Strangle Strategies, these strategies can be called Portfolio Insurance Strategies because of their nature of investment and returns. The objectives of the study to analyze the risk and return associated with these strategies on 5 years historical data of Nifty 50 and formulated hypothesis to know impact of variables such as Risk, Volatility, Degree of Risk. The study Concluded that Insurance Portfolio Strategies are more beneficial for the investors who uses them according to the market conditions.
机译:投资组合保险策略是投资者使用的投资策略,以避免通过使用各种金融工具(如诸如确凿的金融工具)的损失,并将衍生物相结合,使得投资组合价值的退化受到保护。它是一种使用股指的动态对冲策略。它意味着定期购买和销售证券以保持投资组合价值的限制。投资组合保险的工作类似于购买索引PUT选项,也可以通过使用列出的索引选项来完成。由于这些策略中获得优势的可能性,投资者可以根据市场条件选择这些策略,以最大限度地提高其回报。该研究侧重于八个投资组合保险策略:综合呼叫,呼叫,长组合,合成,覆盖,覆盖,长跨跨,短跨,长的扼杀策略,这些策略可以被称为投资和回报的性质,这些策略可以称为投资组合保险策略。研究目标分析了与这些策略相关的风险和回报,与这些策略有5年的婚姻历史数据,并制定了假设,以了解变量,诸如风险,风险程度,风险程度的影响。该研究得出结论,保险组合策略对根据市场条件使用它们的投资者更有利于他们。

著录项

  • 来源
    《Asian Journal of Management》 |2020年第2期|154-160|共7页
  • 作者单位

    Faculty of Management and Commerce Ramaiah University of Applied Science Gnanagangothri Campus M S R Nagar Bengaluru -560054 Karnataka INDIA;

    Faculty of Management and Commerce Ramaiah University of Applied Science Gnanagangothri Campus M S R Nagar Bengaluru -560054 Karnataka INDIA;

    Faculty of Management and Commerce Ramaiah University of Applied Science Gnanagangothri Campus M S R Nagar Bengaluru -560054 Karnataka INDIA;

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  • 原文格式 PDF
  • 正文语种 eng
  • 中图分类
  • 关键词

    Hedging; Unhedging; Portfolio Insurance Strategies; Volatility risk; Index Option;

    机译:对冲;住身;投资组合保险策略;波动性风险;索引选项;

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