• 제목/요약/키워드: Sector Investment Strategy

검색결과 68건 처리시간 0.024초

블랙리터만 모형을 이용한 섹터지수 투자 전략 (Sector Investment Strategy with the Black-Litterman Model)

  • 송정민;이영호;박기경
    • 경영과학
    • /
    • 제29권1호
    • /
    • pp.57-71
    • /
    • 2012
  • In this paper, we deal with a sector investment strategy by implementing the black-litterman model that incorporates expert evaluation and sector rotation momentum. Expert evaluation analyzes the relative performance of the industry sector compared with the market, while sector rotation momentum reflects the price impact of significant sector anomaly. In addition, we consider the portfolio impact of sector cardinality and weight constraints within the context of mean-variance portfolio optimization. Finally, we demonstrate the empirical viability of the proposed sector investment strategy with KOSPI 200 data.

Impact of Foreign Direct Investment on Power Sector: An Empirical Study with Refrence to India

  • Maran, K.;Anitha, R.
    • 동아시아경상학회지
    • /
    • 제3권1호
    • /
    • pp.8-16
    • /
    • 2015
  • In the later quarter of the twentieth century, the need for foreign capital is realized among the various countries of the world. Developing countries especially developed multi-pronged strategies to attract foreign capital into the country. One such strategy is the adoption of liberalization policy. Almost all the developing countries started opening their economy, out of the compulsion, to achieve faster rate of economic growth and development. Even a communist country like China adopted liberalization policy as a strategy for accelerated economic growth during 1979. India also joined the race by 1991, when the government announced the policy of liberalization. The importance of FDI extends beyond the financial capital that flows into the country. The huge size of the market in this sector and high returns on investment are two important factors in boosting FDI inflows to power sector. 100 percent FDI is allowed under automatic route in almost all the sub sectors of power sector except the atomic energy. Major foreign investment is made in this sector during 2000 to 2009 is Mauritius with an investment of US$ 4490.96 i.e., 4.24 percent of the total FDI inflows into the country during the period. The estimation of future FDI flow shows a marginal decline in the year 2010. Then from 2011 to 2015 onwards upward trend of FDI was observed.

A Sectoral Stock Investment Strategy Model in Indonesia Stock Exchange

  • DEFRIZAL, Defrizal;ROMLI, Khomsahrial;PURNOMO, Agus;SUBING, Hengky Achmad
    • The Journal of Asian Finance, Economics and Business
    • /
    • 제8권1호
    • /
    • pp.15-22
    • /
    • 2021
  • This study aims to obtain a stock investment strategy model based on the industrial sector in Indonesia Stock Exchange (IDX). This study uses IDX data for the period of January 1996 to December 2016. This study uses the Markov Regime Switching Model to identify trends in market conditions that occur in industrial sectors on IDX. Furthermore, by using the Logit Regression Model, we can see the influence of economic factors in determining trends in market conditions sectorally and the probability of trends in market conditions. This probability can be the basis for determining stock investment decisions in certain sectors. The results showed descriptively that the stocks of the consumer goods industry sector had the highest average return and the lowest standard deviation. The trend in sectoral stock market conditions that occur in IDX can be divided into two conditions, namely bullish condition (high returns and low volatility) and bearish condition (low returns and high volatility). Differences in the conditions are mainly due to differences in volatility. The use of a Logit Regression Model to produce probability of market conditions and to estimate the influence of economic factors in determining stock market conditions produces models that have varying predictive abilities.

정보기술전략과 투자방향의 일치가 정보기술성과에 미치는 영향 (The Effect of Fit between IT Strategy and IT Investment on the IT Performance)

  • 강태경
    • 경영과정보연구
    • /
    • 제13권
    • /
    • pp.27-47
    • /
    • 2003
  • The strategic usages of IT(Information Technology) can convey important competitive advantages with an operational productivity. For this reason, many firms have heavily invested in IT and computing power. However, many companies were getting expected results by IT investment, but some companies had to be satisfied with a poor results. The question of whether or not benefit lead to expected performance is not easy to answer. The purpose of this study was to investigate the relationship among IT strategy, IT investment, and IT performance to resolve this problem. The 147 questionnaire responses completed by IS managers in manufacturing sector was conducted for a test of research hypothesis. ANOVA was used to investigate the relationship among three constructs and six factors. An operational performince of fitted group between IT strategy and IT investment was higher than not fitted group(H1). And also an competitive performance of fitted group between IT strategy and IT investment was higher than not fitted group(H2). The study shows a positive relationship between IT strategic orientation, IT investment direction, and performance of IT. The research results provide empirical evidence that supports the research hypothesis that closer fit between IT strategies and IT investment directions does lead to increase operational and competitive performance of IT.

  • PDF

정보기술전략, 정보기술투자방향, 그리고 정보기술성과의 상호관계 (The Relationship between IT Strategy, IT Invesetment, and IT Performance)

  • 강태경
    • 한국디지털정책학회:학술대회논문집
    • /
    • 한국디지털정책학회 2003년도 창립학술대회
    • /
    • pp.507-524
    • /
    • 2003
  • Many organizations experience that the performance they gained from IT investment is lower than they expected values. As with any investment, executives are concerned with maximizing the performance from their investment in IT. This study focused on the relationship between IT strategy and IT investment to maximize IT performance. A field survey of chief information officer of Korea manufacturing sector was conducted. Complete data for 147 firms was analyzed to determine relationship of the three research constructs. The study shows a positive relationship between IT strategic orientation, IT investment direction, and performance of IT. The research results provide empirical evidence that supports the research hypothesis that closer fit between IT strategies and IT investment directions does lead to increase operational and competitive performance of IT

  • PDF

정보기술전략, 정보기술투자, 정보기술성과의 관계 (The Relationship between IT Strategy, IT Invesetment, and IT Performance)

  • 강태경
    • 디지털융복합연구
    • /
    • 제1권1호
    • /
    • pp.165-187
    • /
    • 2003
  • Many organizations experience that the performance they gained from IT investment is lower than they expected values. As with any investment, executives are concerned with maximizing the performance from their investment in IT. This study focused on the relationship between IT strategy and IT investment to maximize IT performance. A field survey of chief information officer of Korea manufacturing sector was conducted. Complete data for 147 firms was analyzed to determine relationship of the three research constructs. The study shows a positive relationship between IT strategic orientation, IT investment direction, and performance of IT. The research results provide empirical evidence that supports the research hypothesis that closer fit between IT strategies and IT investment directions does lead to increase operational and competitive performance of IT.

  • PDF

Managerial Involvement in Investment Decision: A Study of Hydropower Enterprises

  • Gautam, Dhruba Kumar;Dahal, Rewan Kumar
    • 아태비즈니스연구
    • /
    • 제4권2호
    • /
    • pp.11-20
    • /
    • 2013
  • This study extends the extant scope of understanding investment decision, beyond the dominant 'technical' emphasis on the application of discounted cash flow techniques. The research methodology draws the positivist and interpretive research paradigms. It uses a deductive approach, survey strategy and principal component analysis for the analysis. Three key sets of factors emerged as important in the investment decision process in the hydropower sector. They are: group consensus (framing), influences on own judgment (heuristics), and application of knowledge & experience (intuition). The use of purposive and convenient sampling might have some unintended impact on the findings. Consequently, any generalizations of the findings to a wider population of organizations and managers need to be made with care. It is hoped that this paper will encourage other researchers to go beyond the analytic techniques of investment appraisal that have dominated investment decision research and seek to balance the emphasis by focusing on human involvement and behavioral aspects of investment decision.

  • PDF

Uncertainty, Corporate Investment and the Role of Conservative Financial Reporting: Empirical Evidence from Pakistan

  • FATIMA, Huma;RANA, Sahar Latif;HAFEEZ, Abida
    • The Journal of Asian Finance, Economics and Business
    • /
    • 제9권6호
    • /
    • pp.231-243
    • /
    • 2022
  • The objective of this study is to analyze the impact of conservative financial reporting on investment during uncertainty. It was assumed that during uncertainty conservative financial reporting can play an important role to improve investment decision-making. For our analysis, data sets from 2005-2020 of nonfinancial companies are used. To measure the impact of conservative financial reporting in the non-financial sector of Pakistan, Khan and Watts' (2009) model is applied. "Prospector" and "Defender" Business strategy is applied for measuring firm-level uncertainty. Investment is measured by adding the change in fixed assets (property, plant, and equipment). To check the robustness of conservative financial reporting, Givoly and Hayn's (2000) Negative Accruals measure is applied. To measure the robustness of uncertainty, environmental scanning and alertness technique is applied. According to environmental scanning and alertness technique, companies are divided into two groups named 'inert' and 'alert'. 'Inert' are those firms that are not scanning their environment, and 'alert' are those firms who continuously analyze their environment. The empirical estimations support our hypothesis. The empirical findings provide the proof that in the wake of uncertainty conservative financial reporting may facilitate to take optimal investment decisions in the developing economy of Pakistan. Our results provide critical and practical implications for investors, researchers, and standard setters.

국가 기술개발 전략 실증분석을 통한 R&D 효율성 제고방안 연구 : 농생명자원 활용분야 중심으로 (A Study on Plans to Enhance R&D Efficiency through Empirical Analysis of National R&D Strategy Focusing on Agricultural Bioresources)

  • 김은정;전은진
    • 기술혁신학회지
    • /
    • 제15권2호
    • /
    • pp.277-298
    • /
    • 2012
  • 농림수산식품 산업은 기존의 생산 중심의 1차 산업을 탈피하여 미래 신성장동력 산업으로의 도약을 목표로 농업 R&D 패러다임의 전면적인 전환을 도모하고 있으며, 특히 농생명자원을 활용한 생명산업 등의 육성을 주요 과제로 선정하고 범부처 청 차원에서 R&D 지원을 강화하고 있다. 본 연구에서는 생명산업의 핵심자원인 농생명자원의 확보 관리 및 활용 등 전 단계에 걸친 국가 R&D 정책, 기술개발 전략, 사업 추진현황, 성과 등에 대한 실증분석을 통해 문제점을 도출하고 실용화 조기 달성을 위한 개선방안을 제안하고자 한다. 궁극적으로 제안된 개선방안으로부터 농생명자원 R&D 분야의 정부/민간, 부처(청) 내 역할분담 및 협력방안을 제시함으로써, 정부 R&D 투자의 전략성 효율성을 강화하고 적극적인 민간기업의 참여를 통한 생명산업의 산업화 성공사례 조기 달성에 기여할 것으로 기대된다.

  • PDF

드론산업 인프라 투자 우선순위에 관한 연구 (A Study on the Priority of Drone Industry Infrastructure Investment)

  • 심명식;이상준;송동엽
    • 스마트미디어저널
    • /
    • 제9권3호
    • /
    • pp.130-141
    • /
    • 2020
  • 국내는 방제·방역, 탐사·측량, 수색·구조, 영상촬영, 시설관리 등 드론활용 시장 중심으로 성장 추세이나 드론의 핵심기술·부품에 대한 외산 의존도는 높은 실정이다. 미국, 중국 등 드론 선진국들은 드론의 무기화를 확대하고 있으며, 이에 따라 향후에는 드론산업 관련 수·출입 규제 강화, 독과점 등 국가 간 무역 전쟁이 더욱 강화될 우려가 있다. 따라서 차세대 드론의 핵심 기술과 부품·부속장비 등에 대한 연구개발 및 국산화를 위한 정책적 연구와 인프라 투자가 선행 되어야 할 필요가 있다. 본 연구에서는 AHP 기법을 활용하여 소형 드론기업 육성을 위한 인프라 투자 우선순위를 선정하고, 인프라 투자 전략을 제시하였다.