期刊名称:Analele Universităţii Constantin Brâncuşi din Târgu Jiu : Seria Economie
印刷版ISSN:1844-7007
出版年度:2015
卷号:2
期号:1
页码:154-160
语种:English
出版社:Academica Brâncuşi
摘要:This article is organized in four parts.The first part presents theoretical aspects on determining the efficiency curve and the steps to be taken on this.The second part begins with a case study presenting the methods of determining the efficiency curve of a stock portfolio,in the case of several entities listed on the Bucharest Stock Exchange.The third part shows how useful Microsoft Excel is to determine the Markovitz efficiency curve of a stock portfolio.On completion of this work,we present the findings on the methods of determining the Markovitz efficiency curve using Microsoft Excel,and their related interpretations.