基于风险调整的绩效指标对基金的基金效率进行评估:应用增强的WASPAS方法
Mostafa Shabani1, Ali Khodarahmi2, Rouzbeh Ghousi1
1Department of Industrial Engineering, Iran University of Science and Technology, Tehran, Iran.
PloS one
|July 23, 2025
概括
本研究引入了一种改进的方法来评估基金的基金表现,改善投资决策. 经过修改的加权总和产品评估 (WASPAS) 方法,结合和权重,在评估伊朗资金方面表现强.
科学领域:
- 投资管理 投资管理
- 金融投资组合分析
- 决策科学 决策科学 决策科学
背景情况:
- 基金的基金 (FoFs) 对于投资组合多样化至关重要,但由于复杂性而难以评估.
- 传统的绩效指标与FoF的多层结构和多样化的资产进行斗争.
- 低效的评估可能会导致低于最佳的投资决策.
研究的目的:
- 为基金的基金制定一个全面的绩效评估.
- 解决传统评估方法的局限性.
- 提高投资者的决策能力,优化投资策略.
主要方法:
- 应用多属性决策 (MADM) 方法.
- 增强加权总和产品评估 (WASPAS) 方法的开发.
- 纳入度测量和有效的权重技术,以提高强度.
主要成果:
- 修改后的WASPAS方法提供了一个更强大,更精确的绩效评估框架.
- 计算结果证明了该方法在伊朗FoFs上的强大性能和可靠性.
- 该研究确定了影响基金业绩的具体标准,有助于战略优化.
结论:
- 增强的WASPAS方法提供了一个复杂的框架,用于明智的投资决策.
- 该方法有效地促进了对基金的基金的投资策略的优化.
- TMSK被确定为表现最好的基金,验证了该方法的实际有效性.
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