ASSESSING FINANCIAL RISK TOLERANCE OF PORTFOLIO INVESTORS USING DATA ENVELOPMENT ANALYSIS

Author:

ARDEHALI PARISA HOSSEINI1,PARADI JOSEPH C.2,ASMILD METTE3

Affiliation:

1. Department of Mechanical and Industrial Engineering, University of Toronto, 200 College Street, Toronto, ON M5S 3E5, Canada

2. Centre for Management of Technology and Entrepreneurship, Department of Chemical Engineering and Applied Chemistry, University of Toronto, 200 College Street, Toronto, ON M5S 3E5, Canada

3. Nottingham University Business School, Jubilee Campus, Wollaton Road, Nottingham NG8 1BB, United Kingdom

Abstract

For some investors their own personal investment counsellors address their investment strategy; for others automated means are used. To protect investors, the Canadian Government has enacted the "Know Your Client" Act requiring that all investment dealers and vendors of securities must know their clients and advise them on the appropriate investment strategy. This paper uses Data Envelopment Analysis (DEA) in a novel manner by applying it to a large data set of answers to a number of psychological questions. A Slacks Based Model was used to estimate investor risk tolerance. The model analyses the risk profile of the investor and can be used as a guide to match the risk rating of the investment vehicles for the client. Statistical comparisons were also carried out to show how risk tolerance relates to various demographic variables. Finally, the DEA results were validated through comparisons with the commercial system already in use.

Publisher

World Scientific Pub Co Pte Lt

Subject

Computer Science (miscellaneous),Computer Science (miscellaneous)

Cited by 14 articles. 订阅此论文施引文献 订阅此论文施引文献,注册后可以免费订阅5篇论文的施引文献,订阅后可以查看论文全部施引文献

1. How the COVID-19 pandemic changed Italians’ financial risk tolerance;Qualitative Research in Financial Markets;2024-08-13

2. The Significance of Predictive Analysis in Predicting the Performance of Members in the Organizations;International Journal of Recent Technology and Engineering;2021-01-30

3. Risk tolerance and household financial behaviour: A test of the reflection effect;IIMB Management Review;2020-12

4. THE INFLUENCE OF THE LEVEL OF EDUCATION ON INVESTORS RISK TOLERANCE LEVEL;Proceedings of the 12th Economics & Finance Conference, Dubrovnik;2019

5. Financial Services Beyond Banking: Risk Tolerance Measures for Portfolio Investors;Data Envelopment Analysis in the Financial Services Industry;2017-11-23

同舟云学术

1.学者识别学者识别

2.学术分析学术分析

3.人才评估人才评估

"同舟云学术"是以全球学者为主线,采集、加工和组织学术论文而形成的新型学术文献查询和分析系统,可以对全球学者进行文献检索和人才价值评估。用户可以通过关注某些学科领域的顶尖人物而持续追踪该领域的学科进展和研究前沿。经过近期的数据扩容,当前同舟云学术共收录了国内外主流学术期刊6万余种,收集的期刊论文及会议论文总量共计约1.5亿篇,并以每天添加12000余篇中外论文的速度递增。我们也可以为用户提供个性化、定制化的学者数据。欢迎来电咨询!咨询电话:010-8811{复制后删除}0370

www.globalauthorid.com

TOP

Copyright © 2019-2024 北京同舟云网络信息技术有限公司
京公网安备11010802033243号  京ICP备18003416号-3