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Portfolio Risk and Return - Part II (2024/2025 Level I CFA® Exam - PM - Module 2) 

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Topic 9 - Portfolio Management
Module 2 - Portfolio Risk and Return - Part II
0:00 Introduction and Learning Outcome Statements
4:45 LOS : Describe the implications of combining a risk-free asset with a portfolio of risky assets.
6:49 LOS : Explain the capital allocation line (CAL) and the capital market line (CML).
12:08 LOS : Explain systematic and nonsystematic risk, including why an investor should not expect to receive additional return for bearing nonsystematic risk.
16:00 LOS : Explain return generating models (including the market model) and their uses.
24:32 LOS : Calculate and interpret beta.
29:31 LOS : Explain the capital asset pricing model (CAPM), including its assumptions, and the security market line (SML).
39:43 LOS : Calculate and interpret the expected return of an asset using the CAPM.
41:04 LOS : Describe and demonstrate applications of the CAPM and the SML.
48:18 LOS : Calculate and interpret the Sharpe ratio, Treynor ratio, M2, and Jensen’s alpha.

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2 июл 2022

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Комментарии : 17   
@white_sheep_media_business
@white_sheep_media_business Год назад
I really like this guy and his teaching style.
@analystprep
@analystprep Год назад
You're very welcome! If you like our video lessons, it would be appreciated if you could take 2 minutes of your time to leave us a Google review using this link: g.page/r/CQIlM78xSg01EB0/review
@bhavypatel5049
@bhavypatel5049 7 дней назад
Thanks to these lecturers i cleared my CFA level1, thank you so much
@neal176
@neal176 2 года назад
Excellent work Professor. You have explained the topic in a very easy way for the students to understand.
@analystprep
@analystprep 2 года назад
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@afihaileywibowo1095
@afihaileywibowo1095 2 года назад
Thank you so much for the video Professor Forjan. I enjoyed watching it and it helps me in understanding the PM section better
@analystprep
@analystprep 2 года назад
Glad it was helpful! If you like our video lessons, it would be appreciated if you could take 2 minutes of your time to leave us a review here: trustpilot.com/review/analystprep.com
@mosaradwan
@mosaradwan Год назад
Excellent work Professor
@analystprep
@analystprep Год назад
You are welcome! If you like our video lessons, it would be appreciated if you could take 2 minutes of your time to leave us a Google review using this link: g.page/r/CQIlM78xSg01EB0/review
@AnonymousHehe7138
@AnonymousHehe7138 2 месяца назад
Amazing content! Really helpful !
@analystprep
@analystprep Месяц назад
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@LewisRobinson828
@LewisRobinson828 9 месяцев назад
wow great explanation on sml and CML. most esp on SML!! great job!
@guilhermejanuario3035
@guilhermejanuario3035 8 месяцев назад
Sir, tks for all the good content! -- should we deduct Rm in the M2 computation? Not sure i missed sth, or if there are more than one definition/interpretation. thank you.
@madhuryameshram1214
@madhuryameshram1214 2 года назад
Thanks a ton!
@analystprep
@analystprep 2 года назад
You're welcome! If you like our video lessons, it would be appreciated if you could take 2 minutes of your time to leave us a review here: trustpilot.com/review/analystprep.com
@icewater2762
@icewater2762 Год назад
my doubt is can we use beta to tell us how much percent the stock will move in respect to the market such as if the s and p 500 is up 1% for the day how much would apple be for the day ?