The combination of genetic algorithm in the optimization of the stock portfolio in the financial decision of investors

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Article Type:
Research/Original Article (دارای رتبه معتبر)
Abstract:

The purpose of this research is to combine the genetic algorithm in the optimization of the stock portfolio in the financial decision making of investors; in a simulation project, the final use of the input data is to build the simulation model. This process includes collecting input data, analyzing the input data, and using these analyzed input data in the simulation model. The statistical population of the research includes 20 symbols (companies) from among the industries (Vabsadar, Vetjarat, Akhaber, Fakhuz, Fars, Balbar, Tapampi, Khasapa, Khodro, Sasharq, Sosofi, Shobhorn, Shapna, Ghopino, Fould, Ghasabat, Kesra, Vanbank, Vanneft, Veniki) and the information related to the daily stock price and the daily index value from Decembre 22, 2008 to January 16, 2020 was considered as a sample. The tool for collecting information and data is using the Phipiran site, and the amount of beta (risk) of stocks is calculated monthly using Excel software, and the frequency of return and beta (risk) calculated using Spss software, and distribution functions were discussed using Easy fit software; the results showed that if the agents are beginners to earn more profit than normal behavior and accept 40% risk, the amount of profit obtained after optimizing the model with genetic algorithm is more than the initial model. If the agents are professionals to earn more profit than risk-averse behavior and accept 80% risk, the amount of profit obtained after optimizing the model with genetic algorithm is more than the initial model.

Language:
Persian
Published:
Journal of Value Creating in Business Management, Volume:3 Issue: 4, 2024
Pages:
73 to 88
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