Moneywise

Factor Investing Implementation: How To Build A Practical Multi-Factor Portfolio?


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Still confused about how multi-factor portfolios work in practice?

In this finale episode of Moneywise, we move from concepts to understanding real-world application, and explore the practical aspects of multi-factor model portfolio management. We explain how different factors can be combined into a structured investment framework through a step-by-step explanation.

In this episode, we break down:
• How multi-factor portfolios are structured in practice
• The role of multi-factor model portfolio management in balancing different market behaviours
• How momentum and size factors are used within investment frameworks
• Common mistakes seen in factor-based investing approaches
• How factor-based approaches can be relevant in mutual fund investing discussions

This episode is designed to help viewers understand how factor-based ideas translate into real-world portfolio frameworks, especially for those looking to move beyond single-factor thinking.

This content is for educational purposes only and should not be considered investment advice or a recommendation to buy or sell any securities or adopt any investment strategy.

Mutual Fund investments are subject to market risks, read all scheme related documents carefully.

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