ESTIMATING THE RETURN OF THE FINANCIAL TITLES OF THE COMPANIES FROM THE MANUFACTURING INDUSTRY, LISTED ON THE BUCHAREST STOCK EXCHANGE
Nicolae Baltes and
Alexandra-Gabriela-Maria Dragoe
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Nicolae Baltes: Lucian Blaga University of Sibiu
Alexandra-Gabriela-Maria Dragoe: Lucian Blaga University of Sibiu
Revista Economica, 2017, vol. 69, issue 3, 19-28
Abstract:
The paper presents a method of estimating the maximum expected loss of value that can be recorded by holding a portfolio of financial titles for a certain period of time, through the VaR model, using Monte Carlo simulation method. The research was based on the closing prices of 33 companies from the manufacturing industry in Romania, listed on the Bucharest Stock Exchange. The results of the paper showed that, for a portfolio composed of the financial titles of the 33 studied companies, in which it will be invested an amount of 1.000.000 lei, the maximum daily loss, estimated during the studied period of 01.01.2016-31.12.2016, was 2.513,47 lei.
Keywords: financial titles; Value at Risk (VaR); Monte Carlo method; closing price; market risk (search for similar items in EconPapers)
JEL-codes: G11 G17 (search for similar items in EconPapers)
Date: 2017
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Persistent link: https://EconPapers.repec.org/RePEc:blg:reveco:v:69:y:2017:i:3:p:19-28
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