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Enough talk, let's build the grail! )
there is such a thing, diversification does not save during world crises, but this theory is not for suckers after all. at least it is much harder to prove its harm than its usefulness.
There is a Mr. Sharpe and a bunch of lunatics with him. After the 1987 crisis they set up a fund to demonstrate their portfolio theory. In 1997 they went bust, with all the Schnobel coryphaei losing several hundred million dollars each. Since then they continue to reassure everyone that they are right and take money for their speeches. They no longer have the money for a new fund. So proving useful only in the forum, but no more than that.Если я правильно понял, с помощью перебора кучи вариантов комбинаций разных бумаг (можно еще их веса менять) получаем итоговый аптренд, и надеимся что он сохранится и впредь. Идея прикольная, ведь даже и в кризис не все акции падают, например Макдак вообще не упал..
Just don't get your hopes up because markets are non-stationary. So the portfolio will have to be shaken out from time to time.
The point is that if the portfolio is allowed to drawdown in a calm market, it means that it is not taking into account some factors of the past. Therefore it will not take them into account in the future. And where it is thin, it tears.
If we take two portfolios: one of them is on drawdown and the other is non-breakdown, they both cannot take into account some factors that didn't happen in the past but will happen in the future. However, it is still a matter of how these future factors will be reflected in the portfolios, i.e. will they be profitable or loss-making?
I also don't know why the method developed by Tobin is called the Tobin method, the method developed by Markowitz is called the Markowitz method, the Sharpe ratio is called the Sharpe ratio, and the method developed by Reshetov is not called the alsu method?
This is an outrage.
Levin's Disease (c) The Interns :)If I understood correctly, by trying a lot of combinations of different securities (you can also change their weights) we get the final up-trend, and hope that it will remain in the future. The idea is cool, because even during the crisis not all stocks fall, for example McDuck did not fall at all...
If you mean Nasdaq, it's more than double 2007. 10.01 - 2866 и 2009.02.01 - 1263.
... например Макдак вообще не упал..
Если имеется ввиду насдак, то более чем в два раза 2007. 10.01 - 2866 и 2009.02.01 - 1263.
No, it is McDonalds by the MCD symbol. Of all the securities, DJI is the only one that not only did not crumble in 2008, but also posted a profit for the year.