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Modern Portfolio Theory (MPT) and the Capital Asset Pricing Model (CAPM) (FRM P1 2021 - B1 - Ch5)

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AnalystPrep

AnalystPrep

Күн бұрын

For FRM (Part I & Part II) video lessons, study notes, question banks, mock exams, and formula sheets covering all chapters of the FRM syllabus, click on the following link: analystprep.co...
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After completing this reading you should be able to:
- Explain modern portfolio theory and interpret the Markowitz efficient frontier.
- Understand the derivation and components of the CAPM.
- Describe the assumptions underlying the CAPM.
- Interpret the capital market line.
- Apply the CAPM in calculating the expected return on an asset.
- Interpret beta and calculate the beta of a single asset or portfolio.
- Calculate, compare and interpret the following performance measures: the Sharpe performance index, the Treynor performance index, the Jensen performance index, the tracking error, information ratio and
Sortino ratio.
0:00 Introduction
0:15 Learning Objectives
0:55 Assumptions Underlying the CAPM
9:21 Interpreting Beta
16:53 Example on Beta
19:57 Derivation of CAPM
21:39 The Capital Market Line
28:53 The Treynor Measure: Analogy
32:41 The Sharpe Measure
35:08 The Jensen Measure
44:54 The Tracking-Error: Example
46:09 The Information Ratio
48:19 The Sortino Ratio

Пікірлер: 47
@AlexNangle
@AlexNangle 2 ай бұрын
This is so much better than my textbook. So much better. Thank you.
@pedrofolque7899
@pedrofolque7899 3 жыл бұрын
16:52 - Example on Beta 24:49 - CML Example 34:06 - Sharpe Ratio Example
@erickjimenez4601
@erickjimenez4601 Ай бұрын
Really well made I understood well thanks professor
@analystprep
@analystprep Ай бұрын
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
@quincyreinevergara8822
@quincyreinevergara8822 8 ай бұрын
wow the information shared here is incredible
@analystprep
@analystprep 8 ай бұрын
You're welcome. If you like our video lessons, it would be appreciated if you could leave us a review at www.trustpilot.com/review/analystprep.com
@allblackblue
@allblackblue 4 жыл бұрын
Really great way to develop this concepts
@analystprep
@analystprep 4 жыл бұрын
Glad you like it!
@raulortiz4998
@raulortiz4998 4 жыл бұрын
WOW 1 week of class resume in 50 minutes
@analystprep
@analystprep 4 жыл бұрын
:)
@user-vk5xs1sb6r
@user-vk5xs1sb6r 3 жыл бұрын
Q
@theamertens6433
@theamertens6433 2 жыл бұрын
you da bomb! thank you for the clear explanations
@djJungleboy
@djJungleboy 5 ай бұрын
The sample size for S &P is 500 I assume, but what number and what is being measured for standard deviation of security ( x number of years of return?)
@manoj-nandasena
@manoj-nandasena 4 жыл бұрын
So helpful sir. Thank you so much.
@analystprep
@analystprep 4 жыл бұрын
Most welcome!
@bahadurmammadov8770
@bahadurmammadov8770 4 жыл бұрын
Thanks you so much 💜
@analystprep
@analystprep 4 жыл бұрын
You're welcome 😊
@nosao2748
@nosao2748 9 ай бұрын
God Bless You!
@dhruthij7430
@dhruthij7430 4 жыл бұрын
So nicely explained sir
@analystprep
@analystprep 4 жыл бұрын
Thanks for liking! If you like our video lessons, it would be helpful to spread the word if you could take 2 minutes of your time to leave us a review at www.trustpilot.com/review/analystprep.com
@Tyokok
@Tyokok 3 жыл бұрын
what is the market portfolio? what's special about this tangent portfolio and we must purchase? Thanks!
@mikeamine375
@mikeamine375 3 жыл бұрын
thank you for this wonderful video
@analystprep
@analystprep 3 жыл бұрын
Glad it was helpful! If you like our video lessons, it would be helpful if you could take 2 minutes of your time to leave us a review here: www.trustpilot.com/review/analystprep.com
@ujjwalupadhyay2447
@ujjwalupadhyay2447 3 жыл бұрын
sir, why sml is only applied on individual stock and not for portfolios
@oisinmcnally5952
@oisinmcnally5952 3 жыл бұрын
Legend
@alvinchow2024
@alvinchow2024 3 жыл бұрын
It’s a really helpful video
@gorthorki
@gorthorki 4 жыл бұрын
Thank you so much 😀👌
@analystprep
@analystprep 4 жыл бұрын
You're welcome 😊
@shubhendukumar1972
@shubhendukumar1972 4 жыл бұрын
Thanks a lot
@analystprep
@analystprep 4 жыл бұрын
Most welcome
@Aim4sixmeals
@Aim4sixmeals 4 жыл бұрын
Thank you sir
@analystprep
@analystprep 4 жыл бұрын
Welcome
@ngunitv
@ngunitv 3 жыл бұрын
apply job accounting directing to hr or overral
@richardyeboah3851
@richardyeboah3851 4 жыл бұрын
Thank you a lot Sir
@analystprep
@analystprep 4 жыл бұрын
Most welcome! If you like our video lessons, it would be helpful to spread the word if you could take 2 minutes of your time to leave us a review at www.trustpilot.com/review/analystprep.com
@Xenublax2
@Xenublax2 2 жыл бұрын
"You forgot Jack Treynor!" - Franco Modigliani, probably.
@alexs934
@alexs934 3 жыл бұрын
15:33 σ^2m is variance not σm
@sayednab
@sayednab Жыл бұрын
isn't one standard deviation 68%?
@ngunitv
@ngunitv 3 жыл бұрын
apply for accounting
@karpagavalliramachandran5616
@karpagavalliramachandran5616 4 жыл бұрын
Is this based on the new syllabus? Please let me k ow. Thank you!
@analystprep
@analystprep 4 жыл бұрын
Hi. Yes, these are the learning objectives from the new syllabus.
@nasratwaha610
@nasratwaha610 3 жыл бұрын
What are the differences between portfolio theory and CAPM?
@analystprep
@analystprep 3 жыл бұрын
Hi Nasra. "CAPM simultaneously simplified Markowitz's Modern Portfolio Theory (MPT), made it more practical and introduced the idea of specific and systematic risk. Whereas MPT has arbitrary correlation between all investments, CAPM, in its basic form, only links investments via the market as a whole." Source: ebrary.net/7079/business_finance/what_modern_portfolio_theory/ I hope this helps!
@abbaabba8978
@abbaabba8978 3 жыл бұрын
@@analystprep yes thks
@ngunitv
@ngunitv 3 жыл бұрын
cleanmethotthankyou
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