Managing One's Portfolio at the End of the XIXth Century.

被引:0
|
作者
Petit-Konczyk, Muriel [1 ]
机构
[1] Univ Lille 2, Univ Lille Nord France, FFBC, F-59020 Lille, France
关键词
bourse; portefeuille; epargne; diversification; actions; obligations;
D O I
暂无
中图分类号
K [历史、地理];
学科分类号
06 ;
摘要
How did a manufacturer in a declining industry manage his savings, in France, at the end of the XIXth century ? Jules-Emile Scrive sees that the revenues he derives from his financial undertakings exceed those he derives from his manufacturing activity and states blandly that he would be happier managing his portfolio than trying to run a mill whose prospects amounted to nothing. When one looks at the situation of his portfolio at the time of his succession, in 1898, what class of investor did he belong to ? What types of stock did he hold ? What was his profile like in terms of return vs. risk and diversification vs. specialization
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页码:367 / +
页数:15
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