Portfolio Management Flashcards

1
Q

Portfolio Management: Portfolio Perspective

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2
Q

Portfolio Management: Pension Plans

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3
Q

Portfolio Management: Endowments

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4
Q

Portfolio Management: Insurance Companies

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5
Q

Portfolio Management: Banks

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6
Q

Portfolio Management: Other Types of Investors

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7
Q

Portfolio Management: Process

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  1. Planning
  2. Execution
  3. Feedback
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8
Q

Portfolio Management: Planning

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9
Q

Portfolio Management: Execution

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10
Q

Portfolio Management: Feedback

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11
Q

Portfolio Management: Pooled Investments

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  1. Open-end mutual funds
  2. Closed-end mutual funds
  3. Exchange-Traded Funds (ETFs)
  4. Separately managed accounts (SMAs)
  5. Buyout funds
  6. Venture capital funds
  7. Hedge funds
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12
Q

Portfolio Management: Open-end mutual funds

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13
Q

Portfolio Management: Closed-end mutual funds

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14
Q

Portfolio Management: Types of Mutual Funds

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15
Q

Portfolio Management: ETFs

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16
Q

Portfolio Management: SMAs & Buyout Funds

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17
Q

Portfolio Management: Venture Capital/Hedge Funds

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18
Q

Portfolio Risk/Return: Return Measures - Formulas

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19
Q

Portfolio Risk/Return: Money-Weighted Return - Problem

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20
Q

Portfolio Risk/Return: Return Measures

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21
Q

Portfolio Risk/Return: Return Measures - Problem

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22
Q

Portfolio Risk/Return: Mean, Variance, Covariance, Correlation - Example

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23
Q

Portfolio Risk/Return: Major Asset Classes

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24
Q

Portfolio Risk/Return: Risk Aversion

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25
Q

Portfolio Risk/Return: Risk Aversion - Problem

26
Q

Portfolio Risk/Return: Portfolio Standard Deviation

27
Q

Portfolio Risk/Return: Portfolio Standard Deviation - Example

28
Q

Portfolio Risk/Return: Correlation and Risk Reduction - Graph

29
Q

Portfolio Risk/Return: Portfolio Risk - Problem

30
Q

Portfolio Risk/Return: Minimum Variance/Efficient Frontier Graph

31
Q

Portfolio Risk/Return: Efficient Frontier

32
Q

Portfolio Risk/Return: Efficient Portfolios - Problems

33
Q

Portfolio Risk/Return: Capital Allocation Line

34
Q

Portfolio Risk/Return: Combining Risk-free/Risky Assets

35
Q

Portfolio Risk/Return: Capital Allocation Line - Indifference Curves

36
Q

Portfolio Risk/Return: Capital Market Line

37
Q

Portfolio Risk/Return: Un/Systematic Risk

38
Q

Portfolio Risk/Return: Diversification/Reduction of Unsystematic Risk

39
Q

Portfolio Risk/Return: Returns Generating Models - Market Model

40
Q

Portfolio Risk/Return: Returns Generating Models - Multi-factor Model

41
Q

Portfolio Risk/Return: Returns Generating Models - Multi-factor Models : Risk Factors

42
Q

Portfolio Risk/Return: Returns Generating Models - Fama and French 3-factor Model

43
Q

Portfolio Risk/Return: Calculating Beta - Graph

44
Q

Portfolio Risk/Return: Calculating Beta - Formulas

45
Q

Portfolio Risk/Return: Capital Market Theory Assumptions

46
Q

Portfolio Risk/Return: Capital Asset Pricing Model - SML Equation

47
Q

Portfolio Risk/Return: CAPM

48
Q

Portfolio Risk/Return: SML Graph

49
Q

Portfolio Risk/Return: CAPM Expected Returns Example

50
Q

Portfolio Risk/Return: CAPM Applications - Graph

51
Q

Portfolio Risk/Return: CAPM Applications - Jensen’s Alpha & Treynor Measure

52
Q

Portfolio Risk/Return: Forecast Returns/ CAPM Example

53
Q

Portfolio Risk/Return: CML vs. the SML

54
Q

Portfolio Risk/Return: SML Pricing - Problem

55
Q

Portfolio Planning: IPS

56
Q

Portfolio Planning: Components of IPS

57
Q

Portfolio Planning: Investment Objectives

58
Q

Portfolio Planning: Risk Tolerance

59
Q

Portfolio Planning: investment Constraints

60
Q

Portfolio Planning: Strategic Asset Allocation

61
Q

Portfolio Planning: Strategic Asset Allocation - Example

62
Q

Portfolio Planning: Portfolio Construction