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Portfolio Optimization using Markowitz Model

In this 1-hour long project-based course, you will learn how to optimize a two-asset portfolio at the optimum risk-to-return with finding the maximum Sharpe ratio. To achieve this, we will be working around the Sharpe ratios of two given assets, we will find the efficient frontier of these assets, and find where they intersect the best by utilizing the Markowitz Model. The content of this course draws on the knowledge of Project: Compare Stock Returns with Google Sheets, so you are highly recommended to take it first if you are not familiar with how the Sharpe ratio is calculated and don’t have an understanding of how the risk-to-return metrics work. Note: This course works best for learners who are based in the North America region. We're currently working on providing the same experience in other regions. This course's content is not intended to be investment advice and does not constitute an offer to perform any operations in the regulated or unregulated financial market.

状态:Risk Modeling
状态:Financial Analysis
中级指导项目小时

精选评论

PK

5.0评论日期:Jun 7, 2020

Very informative things to enhance your knowledge and build your career in Finance

SS

5.0评论日期:Jun 7, 2020

This guided course help me to understand about the two asset diversification portfolio

NS

5.0评论日期:May 9, 2020

Good foundation course for learning application of Markowitz Model. Kudos !

TS

4.0评论日期:Jan 2, 2023

Easy and simple, gave me a useful insight to build a markowitz portfolio model on excel

MA

5.0评论日期:Dec 10, 2021

Very interesting and guide full for me . This is new for me I learn it . I give 10/10

AS

4.0评论日期:Apr 15, 2020

Everything is Great Except the last task (Graphing)

IQ

5.0评论日期:Jun 8, 2022

very simple and helpful , all these tools should be put in 1 big course

PP

5.0评论日期:Jul 11, 2020

This is a very good course for peoples. People can gain a lot of knowledge from this course...I loved doing this course....

PP

4.0评论日期:May 7, 2020

Good course to understand the need for diversification

JM

4.0评论日期:Aug 5, 2020

A great introduction to the tools used to analyse the risk/reward of different types of assets.

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