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Jack Clark Francis – Modern Portfolio Theory

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yJack Clark Francis – Modern Portfolio Theory

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Jack Clark Francis – Modern Portfolio Theory

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Modern portfolio theory (MPT), which originated with Harry Markowitz’s seminal paper “Portfolio Selection” in 1952, has stood the test of time and continues to be the intellectual foundation for real-world portfolio management.

This book presents a comprehensive picture of MPT in a manner that can be effectively used by financial practitioners and understood by students.

Modern Portfolio Theory provides a summary of the important findings from all of the financial research done since MPT was created and presents all the MPT formulas and models using one consistent set of mathematical symbols.

Opening with an informative introduction to the concepts of probability and utility theory, it quickly moves on to discuss Markowitz’s seminal work on the topic with a thorough explanation of the underlying mathematics.

  • Analyzes portfolios of all sizes and types, shows how the advanced findings and formulas are derived, and offers a concise and comprehensive review of MPT literature
  • Addresses logical extensions to Markowitz’s work, including the Capital Asset Pricing Model, Arbitrage Pricing Theory, portfolio ranking models, and performance attribution
  • Considers stock market developments like decimalization, high frequency trading, and algorithmic trading, and reveals how they align with MPT

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