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Optimal Portfolio of Two Risky Assets with a Risk-Free Asset. CFA Exam. Essentials of Investments 

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In this video, I cover the concept of optimal portfolio. An optimal portfolio is one that occupies the ‘efficient’ parts of the risk-return premium spectrum. Optimal portfolio is a term used in portfolio theory to refer to the one portfolio on the Efficient Frontier with the highest return-to-risk combination.
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#CFAexam #optimalportfolio #essentailsofinvestments
The optimal portfolio concept falls under the portfolio theory.
The theory assumes that investors fanatically try to minimize risk while striving for the highest return possible.
The theory states that investors will act rationally, always making decisions aimed at maximizing their return for their acceptable level of risk.
The optimal portfolio was used in 1952 by Harry Markowitz, and it shows us that it is possible for different portfolios to have varying levels of risk and return

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21 июл 2024

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Комментарии : 7   
@njinjoh9059
@njinjoh9059 3 года назад
Please sir i have a question at 14:33, why CALmin passing through min-variance point you say has Zero stocks, but the min-variance point is not only made of bonds(since the only bond investment point is below the min variance point on the frontier)?
@HuongTran-jg7tw
@HuongTran-jg7tw Год назад
So in conclusion, may I ask what is the correlation between an optimal portfolio of risky asset with the risk free asset?
@amanagrawal1791
@amanagrawal1791 4 года назад
Sir, I am from india Could you plss upload video on capital market line and security market line also
@imogencartwright5355
@imogencartwright5355 Год назад
Very useful video! What is the optimal portfolio weights formula? It has gone slightly blurry in the video
@AccountingLectures
@AccountingLectures Год назад
I shared.
@evasutherland603
@evasutherland603 4 года назад
MSc. Accounting Vs Finance: Which Should You Study?
@AccountingLectures
@AccountingLectures 4 года назад
Accounting 💯
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