Mitreva, Mila (2022) Investment trends of institutional investors. Economic Development Year 24, No.4, 24 (4/2022). pp. 37-53.
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Abstract
Institutional investors are very important players in the global financial markets. Their presence and contribution to the financial industry is inevitable. Almost every institutional investor, such as the pension funds, insurance companies and investment funds are growing throughout the years and are obtaining leading positions. In this context, asset allocation is crucial decision-making process for each of the mentioned institutional investors. The asset allocation decision determines the investment strategies and assist in anticipating the rates of return. Hence, the aim of this paper is to show the asset allocation decision of the institutional investors, to understand their investment strategies and determine the differences in the investment portfolio of these investors. Thus, the investment portfolio of the institutional investors mostly consists of cash and deposits, bills and bonds, loans, equity and land and building. The main difference exists in the amount they invest in each of these instruments and as a determining factor are the economic and financial conditions in the country.
Item Type: | Article |
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Subjects: | Social Sciences > Economics and business |
Divisions: | Faculty of Economics |
Depositing User: | Mila Mitreva |
Date Deposited: | 25 Oct 2022 11:05 |
Last Modified: | 25 Oct 2022 11:05 |
URI: | https://eprints.ugd.edu.mk/id/eprint/30363 |
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