• A Model Portfolio's Lifecycle

  • Nov 1 2024
  • Durée : 17 min
  • Podcast

  • Résumé

  • Overview

    In this episode of the Masterclass Series podcast, we introduce the concept of Mean-Variance Optimization and the Capital Asset Pricing Model (CAPM), frameworks used to understand risk and return in financial markets. We start by explaining how Markowitz's portfolio theory helps investors construct portfolios that minimize risk for a given level of return, introducing the concept of the efficient frontier.

    The podcast then move on to incorporate a risk-free asset, which simplifies the efficient frontier to a straight line, leading to the concept of the tangency portfolio. The CAPM is derived from this framework, suggesting that the risk of an asset is not measured by its volatility but rather by its beta, which reflects its correlation with the market portfolio.

    ----more----

    This podcast has been provided as part of Algo-Chain's Model Portfolio Masterclass Series.

    Presented over a number of weeks by the co-founders of Algo-Chain, Allan Lane, Ph.D & Irene Bauer, Ph.D, this series aims to share their many years of hands-on experience with Wealth Managers & Financial Advisors who are looking to offer their own suite of Model Portfolios.

    Covering everything from portfolio construction using ETFs, to the more ambitious goal of actively managing an optimized portfolio using trading signals.

    Our goal is to help you deliver top quartile performance.

    Access Algo-Chain's landing page to learn more about our we are using AI assisted ETF search to deliver top quartile returns.

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