دورية أكاديمية

METODE VIŠEKRITERIJUMSKOG ODLUČIVANJA KAO SREDSTVO ZA ANALIZU PORTFOLIA INVESTICIJA.

التفاصيل البيبلوغرافية
العنوان: METODE VIŠEKRITERIJUMSKOG ODLUČIVANJA KAO SREDSTVO ZA ANALIZU PORTFOLIA INVESTICIJA.
العنوان البديل: MULTI-CRITERIA DECISION MAKING METHODS AS A TOOL FOR PORTFOLIO ANALYSIS OF INVESTMENTS.
المؤلفون: Petrovic, Evica, Stankovic, Jelena, Pešic, Milivoje
المصدر: Economic Themes. Sep2010, Vol. 48 Issue 3, p329-341. 13p. 1 Diagram, 5 Charts.
مصطلحات موضوعية: *GLOBALIZATION, *FINANCIAL markets, *ECONOMIC competition, *INVESTMENTS, *DECISION making, *RISK assessment
الملخص (بالإنجليزية): Globalization of financial markets, intensification of competitive relationships as well as constant social and technological changes in the last decades have brought about the increase in uncertainty in business and financial environment. Financial decisions have become more complex as well as importance of financial decision making. Regardless of a field of financial decision making, the key problem factors are always risk analysis and risk management, financial market performance, resources allocation efficiency and market value. According to those factors, it is possible to make suitable multi-criteria models for various fields of financial decision making. [ABSTRACT FROM AUTHOR]
Abstract (Serbian): Globalizacija finansijskog tržišta, intenziviranje konkurentskih odnosa, kao i neprestane socijalne i tehnološke promene poslednjih decenija, dovele su do povećanja stepena neizvesnosti i nesigurnosti u poslovnom i finansijskom okruženju. Finansijske odluke postaju sve kompleksnije, a samim tim i značaj finansijskog odlučivanja. Bez obzira na oblast finansijskog odlučivanja kojoj pripadaju, ključni faktori problema su uvek analiza rizika i upravljanje rizikom, performanse finansijskog tržišta, efikasnost alokacije resursa i tržišna vrednost. Rukovodeći se ovim faktorima, moguće je formirati odgovarajuće višekriterijumske modele za različite oblasti finansijskog odlučivanja. [ABSTRACT FROM AUTHOR]
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