Modern Portfolio Theory: Modern Portfolio Theory, Unleashing Wealth through Strategic Investing

One Billion Knowledgeable · AI-narrated by Mason (from Google)
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6 hr 39 min
Unabridged
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About this audiobook

What is Modern Portfolio Theory


Modern portfolio theory (MPT), or mean-variance analysis, is a mathematical framework for assembling a portfolio of assets such that the expected return is maximized for a given level of risk. It is a formalization and extension of diversification in investing, the idea that owning different kinds of financial assets is less risky than owning only one type. Its key insight is that an asset's risk and return should not be assessed by itself, but by how it contributes to a portfolio's overall risk and return. The variance of return is used as a measure of risk, because it is tractable when assets are combined into portfolios. Often, the historical variance and covariance of returns is used as a proxy for the forward-looking versions of these quantities, but other, more sophisticated methods are available.


How you will benefit


(I) Insights, and validations about the following topics:


Chapter 1: Modern portfolio theory


Chapter 2: Standard deviation


Chapter 3: Variance


Chapter 4: Multivariate normal distribution


Chapter 5: Correlation


Chapter 6: Capital asset pricing model


Chapter 7: Covariance matrix


Chapter 8: Pearson correlation coefficient


Chapter 9: Propagation of uncertainty


Chapter 10: Beta (finance)


Chapter 11: Tracking error


Chapter 12: Diversification (finance)


Chapter 13: Merton's portfolio problem


Chapter 14: Single-index model


Chapter 15: Post-modern portfolio theory


Chapter 16: Risk measure


Chapter 17: Treynor-Black model


Chapter 18: Goal-based investing


Chapter 19: Two-moment decision model


Chapter 20: Mutual fund separation theorem


Chapter 21: Financial correlation


(II) Answering the public top questions about modern portfolio theory.


(III) Real world examples for the usage of modern portfolio theory in many fields.


Who this book is for


Professionals, undergraduate and graduate students, enthusiasts, hobbyists, and those who want to go beyond basic knowledge or information for any kind of Modern Portfolio Theory.

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