Portfolio Investing Available by Ron Bertino

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Portfolio Investing Available by Ron Bertino

Original price was: $397.00.Current price is: $89.00.

Buy the Portfolio Investingcourse by Ron Bertino. After your purchase, you will get access to the downloads page. You can download all the files associated in your order at here and we will also send a download notification email via your mail.

Salepage link: At HERE. Archive: https://archive.is/WhOvY

Total sizes: 2.5 GB

Include:

Description

Buy the Portfolio Investing – Ron Bertino course Only $397  $89 at the best price at exCours. After your purchase, you will get access to the downloads page. You can download all the files associated in your order at here and we will also send a download notification email via your mail.

Unlock your full potential with Portfolio Investing – Ron Bertino Only $397  $89. Our courses are designed to help you excel.

Salepage link: At HERE. Archive: https://archive.is/WhOvY

Total sizes: 2.5 GB – include:

Sale page, Archive, Total size: 2.5 GB

In the course we’ll cover around a dozen or so pre-made portfolios that you can start off with. Additional portfolios and trading strategy ideas will be added over time, as our community continues to grow and share ideas.

Course contents

Introduction

  • Welcome to the course
  • Strategic versus tactical asset allocation
  • Introduction to bonds
  • Asset classes
  • Hedge funds
  • How data can trick you

Returns

  • Getting historical data
  • Linear versus log scale
  • Arithmetic and log price returns
  • Cumulative arithmetic and log price returns
  • Converting arithmetic and log returns
  • Arithmetic and geometric mean
  • Wealth index
  • Performance charts

Measuring risk

  • Variance and standard deviation
  • The portfolio effect
  • Sharpe ratio, Sortino ratio, Calmar Ratio, Martin Ratio
  • Alpha and Beta
  • Correlation and R Squared
  • Treynor Ratio and Information Ratio
  • Value-At-Risk and Expected Shortfall

Factor models

  • Capital Asset Pricing Model (CAPM)
  • Fama French 3 factor model

Permanent portfolios

  • Equal and Value Weighting portfolios
  • Calculating portfolio returns
  • Review of 5 different permanent portfolios

Moving average filters

  • M.A.F. – single asset
  • M.A.F. – all assets in a portfolio

Modern Portfolio Theory

  • Introduction to MPT
  • Correlation and the correlation matrix
  • Efficient frontier
  • Minimum variance portfolio and mean-variance efficient portfolios
  • Rebalancing
  • Return vs risk graph
  • Capital Allocation Line, and margin effect on returns
  • Kelly Criterion – optimal f
  • Inverse variance portfolio
  • Risk parity portfolio

Dual Momentum

  • Review of 6 different dual momentum portfolios

Other portfolios

  • Review of two Adaptive Allocation portfolios
  • Review of two Core-Satellite portfolios

Why wait? Take the first step towards greatness by purchasing Portfolio Investing – Ron Bertino Only $397  $89 today.

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