Portfolio Management in turbulent times - Is diversification still possible?
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Sprache:Englisch
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Produktdetails
Format
Kopierschutz
Nein
Family Sharing
Nein
Text-to-Speech
Nein
Erscheinungsdatum
20.06.2022
Verlag
GRINSeitenzahl
21 (Printausgabe)
Dateigröße
925 KB
Auflage
1. Auflage
Sprache
Englisch
EAN
9783346666017
Harry Markowitz, American economist and professor, is still one of the pioneers in the field of capital market theory with his modern portfolio theory (MPT). Every investor faces the hurdle of finding the most efficient portfolio. In this case, liquidity, risk and the expected return play the central triangle. Both the own risk awareness, which correlates with the return, and exogenous influences, such as in turbulent times, have an impact on the portfolio and its result. Markowitz and his MPT states that the reason for this is that the professional selection of securities in an investment portfolio within the framework of asset management reduces the risk of the portfolio in comparison to the risk of the individual securities. Accordingly, no one needs to fear the financial markets as long as he does not pay more attention to the individual securities than to the securities portfolio as a whole.
This paper provides an understanding of portfolio management, especially in turbulent times. The central question is whether diversification of the portfolio is still possible. What exactly diversification is and how to build an efficient portfolio with asset classes will be explained in the following chapters of this paper.
The reader should gain a solid understanding about portfolio management. For this purpose, some terminology will be explained in the theory part, which will then be applied in practice in the further course. Finally, possibilities are shown how to hedge one's portfolio in volatile times.
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