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Table 3 Ranking of criteria

From: Portfolio selection: a fuzzy-ANP approach

NO.

Criteria

Weight

1

Price-to-book ratio (P/B)

0.061874

2

Price-to-earnings ratio (P/E)

0.059068

3

Net profit margin

0.056335

4

Systematic risk

0.053612

5

Earnings per share

0.05358

6

Revenue growth rate

0.053579

7

Net profit rate

0.53523

8

Return on asset

0.052256

9

Market risk

0.046814

10

Financial risk

0.046701

11

Earnings per share growth rate

0.044024

12

Management system

0.042523

13

Liquidity

0.041112

14

Company assets

0.039834

15

Stock turnover

0.037112

16

Semivariance

0.037066

17

Interest coverage

0.035622

18

Sustainable growth rate

0.034311

19

Negative standard deviation

0.034311

20

Return on equity

0.033091

21

Positive standard deviation

0.030144

22

Asset turnover

0.027332

23

Workforce

0.026191