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Information Journal Paper

Title

Design the model for Glomar Stock Selection in the Tehran Securities Exchange

Pages

  181-195

Abstract

 The main purpose of this research is to use the Factor analysis-taxonomy method to select the best stock from listed companies in Tehran Stock Exchange. Portfolio Selection is one of the most important issues in the field of finance and there are some models for optimal selection. One of the problems of the presented models is to ignore the multiple indexes and dimensions, and to not identify the reasons for the rejection or acceptance of a company in the selection of stocks. In this research, to solve these shortcomings, a taxonomy method, which is a multi-criteria decision-making method, is used. The results showed that 6% of the selected companies, the first priority shares, 68% of the shares with the second priority and 16% of the shares with the third priority and ultimately 10% of the shares with the fourth priority are considered. Finally, the analysis of the findings showed that the stocks with the higher priorities presented by the model only in some years had better performance.

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    APA: Copy

    HASHEMLOO, FARZANEH, NIKOUMARAM, HASHEM, & TORABI, TAGHI. (2021). Design the model for Glomar Stock Selection in the Tehran Securities Exchange. INVESTMENT KNOWLEDGE, 9(36 ), 181-195. SID. https://sid.ir/paper/391051/en

    Vancouver: Copy

    HASHEMLOO FARZANEH, NIKOUMARAM HASHEM, TORABI TAGHI. Design the model for Glomar Stock Selection in the Tehran Securities Exchange. INVESTMENT KNOWLEDGE[Internet]. 2021;9(36 ):181-195. Available from: https://sid.ir/paper/391051/en

    IEEE: Copy

    FARZANEH HASHEMLOO, HASHEM NIKOUMARAM, and TAGHI TORABI, “Design the model for Glomar Stock Selection in the Tehran Securities Exchange,” INVESTMENT KNOWLEDGE, vol. 9, no. 36 , pp. 181–195, 2021, [Online]. Available: https://sid.ir/paper/391051/en

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