Izbor između aktivne i pasivne strategije upravljanja portfoliom
Date
2022
Authors
Leković, Miljan
Journal Title
Journal ISSN
Volume Title
Publisher
International University of Novi Pazar, Novi Pazar
Abstract
Relevant financial literature has for decades recorded debates about the choice between active
and passive portfolio management strategy. In order to enrich domestic literature in this field,
the paper presents the basic characteristics of these strategies, at the same time pointing to their
positive and negative aspects. The aim of the research is to answer the question of which of
these portfolio management strategies is superior. By putting forward arguments in favor of
and against the choice of active and passive portfolio strategy, it is concluded that neither
strategy is perfect and that it is impossible to talk about the superiority of active or passive
portfolio management, as both strategies and both portfolio management models contain
equally serious shortcomings that prevent them from achieving superiority. Problem solution
should be sought in the implementation of a hybrid portfolio strategy that simultaneously
integrates benefits and alleviates the disadvantages of these strategies.
Description
Keywords
active portfolio strategy, passive portfolio strategy, hybrid portfolio strategy
Citation
Leković, M. (2022). Izbor između aktivne i pasivne strategije upravljanja portfoliom. Ekonomski izazovi, 11(21), 89-105. https://doi.org/10.5937/EkoIzazov2221089L