Online Courses Professional Development Finance Courses Station 5: Understanding Portfolio Construction (UI)

Station 5: Understanding Portfolio Construction (UI)

Created by: Investanalitix
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Description

Understanding Portfolio Construction is the stage on which all the actors introduced in Modules 1-4 can interact and perform! In this gathering, risk and return take on new personas and asset classes begin to behave in a manner that is different to when they were in isolation: Normally rambunctious stocks can metamorphose and exert a moderating influence on the crowd while introverted bonds can emerge as the catalyst for many a convivial conversation.



We could say that asset classes are social animals and their personality transforms in a portfolio setting! If we are invited to this gathering, then our preferences as to which of these characters we wish to mingle with, in what combination and for how long will add yet another dimension to the complexity.



Modern Portfolio Theory (MPT) describes these transformations, interactions and permutations in the context of an investment portfolio. One peculiarity is that adding a risky asset to a portfolio could actually reduce overall risk, a phenomenon which for many may seem counter-intuitive.

Another key insight is that a portfolio containing two or more risky assets can be engineered in such a way as to maximise return for a given level of risk or minimise risk for a given level of return. There is only a finite set of portfolios which can be constructed in this fashion and collectively, these trace out a magical curve referred to as the Efficient Frontier.  Welcome to the alchemist's corner!

Table of Contents

1. The Alchemists
2. The Chemistry of Asset Classes: Part I
3. The Chemistry of Asset Classes: Part II
4. Assessment

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Author

Investanalitix

24 Courses

Zola Sookias, Founder & Managing Director

Mr Sookias has extensive experience in investment management, including roles in equity and fixed income analysis, portfolio management, DB and DC pension consulting, product development, manager search & selection, fund performance evaluation and monitoring, and investment publishing.

He has worked with major US investment houses, notably Black Rock Asset Management, Morgan Stanley and Bank of America, as well as a boutique firm specialising in the natural resources sector where he was the senior metals and mining analyst.

His European experience has been with Irish Life International and SEB where he was responsible for developing the investment platform serving the pan-European market, and Black Rock Asset Management Ireland, where he was Investment Director responsible for governance and oversight for the company’s Irish-domiciled active and passive funds.

Mr Sookias holds a BSc. in Geology & Chemistry and an MSc. in Mineral Exploration from the Royal School of Mines, Imperial College, University of London.

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