南華大學機構典藏系統:Item 987654321/16977
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    Please use this identifier to cite or link to this item: http://nhuir.nhu.edu.tw/handle/987654321/16977


    Title: 國內中小型股票共同基金之績效及持續性評估
    Other Titles: The Performance and Its Persistence of the Small& Mid-Captial Equity Funds in Taiwan
    Authors: 江家驊
    Chiang, Chia-Hua
    Contributors: 企業管理系管理科學碩博士班
    袁淑芳
    Shu-Fang Yuan
    Keywords: 績效持績性;擇時擇股;崔那指標;夏普指標;基金淨值
    Market-timing and Selecting Ability;Teynor ratio;Sharpe ratio;NAV;Performance persistence
    Date: 2014
    Issue Date: 2014-11-20 11:45:03 (UTC+8)
    Abstract:   本文主要目的在檢視國內中小型股票共同基金之績效表現及績效是否具有持續性。本文以最近八年之國內中小型股票基金的周頻資料做為實證標的,再依據基金的淨值及淨值報酬率進行排序及分組,接著依個別基金之淨值進行淨值報酬率之加權,並產生高、低淨值暨高、低淨值報酬率的之投資組合,最後依據近一個月之淨值變動率,檢視不同淨值之基金投資組合在績效及績效持續性的差異,其中以Sharpe ratio、Treynor ratio及Jensen’s 做為分析不同淨值表現的基金在一般績效指標的差異,另一方面再分析中小型股票共同基金在擇時及擇股能力表現,據此做為投資人在投資上的參考依據。
      The purpose of the study is to investigate the performance and its persistence of small & mid-capital equity funds equity mutual funds in Taiwan. Using weekly NAV (net asset value) and the monthly change of NAV for recent eight years data, we divided the domestic small & mid-capital equity funds into 4 groups. Then, 4 fund portfolios are made by weighting the individual fund’s NAV in the same group. Next, we illustrate the highest and the lowest NAV (or monthly change of NAV) portfolios’ performances by measure their Sharpe ratio, Treynor ratio, and Jensen’s . Finally, the market-timing and selecting abilities are also examined. It will provide the useful information for investors to explore if there is a significant relationship between the NAV and Performance and its persistence.
    Appears in Collections:[Department of Business Administration, Master/Ph.D Program in Management Sciences] Disserations and Theses(Master and Doctoral Program in Management Sciences)

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