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History of Investing (Z2-340)

75 Minutes
On demand - Video

On Demand - Video

1.5 CPE Credits in SK

OVERVIEW

You hear it all the time. Financial products are becoming more complex. Diversification has changed. Our approach to investing has changed. What does all this mean? In this course, we will explore how investment theory has changed over time from Markowitz to Factor Investing. Using examples and practical applications, we will talk about how our modern notions of portfolio building have developed throughout history.

BENEFITS

  • Early concepts of investment management
  • Gordon Growth Model
  • Harry Markowitz: Risk Return Trade-Off
  • Fama & French: Factor Modeling
  • Which factors are better?
  • Smart Beta
  • Incorporating Client Behavioral Biases
  • What’s Ahead?

HIGHLIGHTS

  • Identify the contributions of Harry Markowitz to Modern Portfolio Theory
  • Recognize how the concept of diversification has changed over time
  • Distinguish between the major factor investing models

COURSE LEVEL

Overview

PREREQUISITES

None

PRICING

$43.50 - Member

$63.50 - Nonmember

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This event has been cancelled.

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COURSE DEVELOPER

CPA Crossings