Content area

Abstract

Purpose

This study aims to provide a comprehensive overview of asset allocation by conducting a systematic literature review and a bibliometric analysis.

Design/methodology/approach

Employing a Preferred Reporting Items for Systematic Reviews and Meta-Analyses-based methodology allows for rigorous mapping of the academic landscape.

Findings

An analysis of this topic reveals a significant increase in asset allocation research since 2013, driven by a growing focus on advanced modeling and risk metrics. This study identifies distinct research clusters, with topics such as behavioral finance and alternative assets gaining prominence in the literature. Furthermore, the most prolific authors on this topic are Zhang, WG, and Zhou, XY.

Research limitations/implications

This review contributes to a more comprehensive understanding of this field by delineating the evolution and diversity of asset allocation models. The limitations of this study are the potential publication bias (English/Scopus/WoS selection) and the dynamic nature of asset allocation models, especially in the current dynamic environment.

Practical implications

Asset and risk managers must keep up with ongoing innovations to apply their knowledge and create value for investors. The study's findings highlight critical research gaps related to the practical application of advanced models, particularly in the context of environmental, social and governance investing and sustainable portfolio construction.

Social implications

The management of third-party resources impacts society because of the substantial resources and participation in pension plans and investment funds.

Originality/value

By combining a systematic literature review with bibliometric analysis, this study offers a unique and transparent framework for understanding the evolution and diversity of asset allocation models.

Details

1009240
Title
Asset allocation models: evolution and diversity – a systematic literature review
Publication title
Volume
9
Issue
2
First page
132
End page
150
Publication year
2025
Publication date
2025
Publisher
Emerald Group Publishing Limited
Place of publication
Bingley
Country of publication
United Kingdom
e-ISSN
25144774
Source type
Scholarly Journal
Language of publication
English
Document type
Literature Review
Publication history
 
 
Online publication date
2025-10-21
Milestone dates
2025-05-31 (Received); 2025-08-29 (Rev-Recd); 2025-09-19 (Accepted)
Publication history
 
 
   First posting date
21 Oct 2025
ProQuest document ID
3280765708
Document URL
https://www.proquest.com/scholarly-journals/asset-xa0-allocation-models-evolution-diversity/docview/3280765708/se-2?accountid=208611
Copyright
© 2025 Bolivar Godinho de Oliveira Filho and Johan Hendrick Poker Junior
Last updated
2025-12-17
Database
ProQuest One Academic