[재무관리] Portfolio Theory

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[재무관리] Portfolio Theory에 대한 자료입니다.
목차
1. Topic : Portfolio Theory
2. Key Concept
3. Apply to Real life
4. Conclusion
본문내용
Portfolio Theory is...

A theory that attempts to maximize portfolio expected return or minimize risk

By combining different assets whose returns are not perfectly positively correlated, we can reduce the total variance of the portfolio return.


Return and Risk

Return
The gain or loss of a security in a particular period

Risk
The possibility of losing some or all of the original investment

Portfolio Risk
diversification reduce risk