No video

4. Portfolio Diversification and Supporting Financial Institutions

  Рет қаралды 253,170

YaleCourses

YaleCourses

Күн бұрын

Financial Markets (2011) (ECON 252)
In this lecture, Professor Shiller introduces mean-variance portfolio analysis, as originally outlined by Harry Markowitz, and the capital asset pricing model (CAPM) that has been the cornerstone of modern financial theory. Professor Shiller commences with the history of the first publicly traded company, The United East India Company, founded in 1602. Incorporating also the more recent history of stock markets all over the world, he elaborates on the puzzling size of the equity premium. very high historical return of stock market investments. After introducing the notion of an Efficient Portfolio Frontier, he covers the concept of the Tangency Portfolio, which leads him to the Mutual Fund Theorem. Finally, the consideration of equilibrium in the stock market leads him to the Capital Asset Pricing Model, which emphasizes market risk as the determinant of a stock's return.
00:00 - Chapter 1. Introduction
01:14 - Chapter 2. United East India Company and Amsterdam Stock Exchange
16:19 - Chapter 3. The Equity Premium Puzzle
21:09 - Chapter 4. Harry Markowitz and the Origins of Portfolio Analysis
29:41 - Chapter 5. Leverage and the Trade-Off between Risk and Return
39:55 - Chapter 6. Efficient Portfolio Frontiers
01:00:21 - Chapter 7. Tangency Portfolio and Mutual Fund Theorem
01:09:20 - Chapter 8. Capital Asset Pricing Model (CAPM)
Complete course materials are available at the Yale Online website: online.yale.edu
This course was recorded in Spring 2011.

Пікірлер
3. Technology and Invention in Finance
1:15:29
YaleCourses
Рет қаралды 216 М.
CHOCKY MILK.. 🤣 #shorts
00:20
Savage Vlogs
Рет қаралды 31 МЛН
小丑把天使丢游泳池里#short #angel #clown
00:15
Super Beauty team
Рет қаралды 46 МЛН
Challenge matching picture with Alfredo Larin family! 😁
00:21
BigSchool
Рет қаралды 42 МЛН
Ses 13: Risk and Return II & Portfolio Theory I
1:18:37
MIT OpenCourseWare
Рет қаралды 582 М.
IFA.com - An Hour with Harry Markowitz, Father of Modern Portfolio Theory
1:07:53
Index Fund Advisors, Inc.
Рет қаралды 3,6 М.
6. Guest Speaker David Swensen
1:11:52
YaleCourses
Рет қаралды 198 М.
8. Theory of Debt, Its Proper Role, Leverage Cycles
1:15:17
YaleCourses
Рет қаралды 206 М.
RR #193 - (Modern) Modern Portfolio Theory
1:25:41
The Rational Reminder Podcast
Рет қаралды 13 М.
2. Risk and Financial Crises
1:09:44
YaleCourses
Рет қаралды 396 М.
15. Forward and Futures Markets
1:12:37
YaleCourses
Рет қаралды 102 М.
Why Your Portfolio Needs International Stocks
9:54
Morningstar, Inc.
Рет қаралды 7 М.
In Pursuit of the Perfect Portfolio: Robert J. Shiller
23:38
MIT Laboratory for Financial Engineering
Рет қаралды 90 М.
Robert Shiller: Speculative Asset Prices
57:14
Yale School of Management
Рет қаралды 40 М.
CHOCKY MILK.. 🤣 #shorts
00:20
Savage Vlogs
Рет қаралды 31 МЛН