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Investing in stocks : Step-by-step to the optimal portfolio

Posted By: lucky_aut
Investing in stocks : Step-by-step to the optimal portfolio

Investing in stocks : Step-by-step to the optimal portfolio
Published 6/2023
Duration: 1h 58m | .MP4 1280x720, 30 fps(r) | AAC, 44100 Hz, 2ch | 1.38 GB
Genre: eLearning | Language: English

en/es/fr Learn as a beginner to utilize Modern Portfolio Theory, get optimal risk-return and succeed on the stock market

What you'll learn
Learn Modern Portfolio Theory.
You learn the most important secret of Wall street investors, in the first 3 minutes of the course.
Learn how to balance your portfolio for high returns with an optimized level of risk.
Learn how to make money, long term, on the stock market.
Learn in a step-by-step tutorial how to find out the best distribution of your different stock, to achieve an optimized risk-return.
Learn by watching the instructor invest his own money, according to the theories taught in this course.
Requirements
No previous knowledge needed. Everything will be explained step-by-step.
You need some tool in order to perform calculations (MS Office, Pages, Google Sheets or at least pen/paper and a hand-held calculator).
Description
EN
The course is in English with High quality English subtitles available.
ES
Los subtítulos en español están disponibles.
(Por favor, desplácese hacia abajo para obtener información en español)
FR
Les sous-titres français sont disponibles.
Investing in Stocks : Step-by-step tutorial to the optimal portfolio
How do you make money, long term, on the stock market? Is it a gamble?
No, it's all about increasing your probabilities to succeed. A very small percentage of higher returns, or lower risk, will accumulate over time and turn into real money.
You do need to avoid the "don'ts" though and learn to optimize your stock portfolio with regards to risk. You learn all this in a short, practical crash course where you step by step will learn how to calculate your distribution of stock according to
Modern Portfolio Theory
, the ruling financial theory of Wall Street investors, and the likes.
You will also be following me along when I invest my own real money, according to the theories taught in this course. And you will see, on a week by week basis, how my stock portfolio is doing.
Welcome to this course, you will not be disappointed.
Enroll now or try out the free sample previews.
Course contents:
Intro
The stock market
Risk
Distribution
Selection 1
Selection 2
Statistics 1
Statistics 2
Returns
Variance-Covariance matrix
Portfolio risk
–-
Invertir en acciones : Tutorial paso a paso para la cartera óptima
¿Cómo se gana dinero, a largo plazo, en bolsa? ¿Es una apuesta?
No, se trata de aumentar tus probabilidades de éxito. Un porcentaje muy pequeño de mayor rentabilidad, o menor riesgo, se acumulará con el tiempo y se convertirá en dinero real.
Sin embargo, debe evitar lo que no debe hacer y aprender a optimizar su cartera de acciones en lo que respecta al riesgo. Todo esto lo aprenderás en un breve y práctico curso intensivo en el que paso a paso aprenderás a calcular tu distribución de acciones según
la Teoría Moderna de Carteras
, la teoría financiera dominante entre los inversores de Wall Street y similares.
También me seguirás cuando invierta mi propio dinero real, de acuerdo con las teorías enseñadas en este curso. Y verás, semana a semana, cómo va mi cartera de acciones.
Bienvenido a este curso, no le decepcionará.
Inscríbase ahora o pruebe las vistas previas de muestra gratuitas.
Contenido del curso:
1. Introducción
2. El mercado de valores
3. Riesgo
4. Distribución
5. Selección 1
6. Selección 2
7. Estadísticas 1
8. Estadísticas 2
9. Devuelve
10. Matriz de varianza-covarianza
11. Riesgo de cartera
Who this course is for:
This course is for people who want to make money long-term on the stock market.


More Info