
Sign up to save your podcasts
Or


"Risk" in investment management has many definitions and dimensions. For investors, it's not only important to quantify total portfolio risk, but also to go beyond to determine the portfolio's risk and return drivers and different sources of risk. Mike Wallberg, CFA, and Reshma Rajagopalan, CFA, Quant & Analytics Specialist at FactSet, discuss how risk budgeting, risk modeling, and risk assessment tools add value in the portfolio management process and can help investors stick to their investment plan and allocations, especially through turbulent periods, to achieve better performance outcomes.
By CFA Institute4.4
9393 ratings
"Risk" in investment management has many definitions and dimensions. For investors, it's not only important to quantify total portfolio risk, but also to go beyond to determine the portfolio's risk and return drivers and different sources of risk. Mike Wallberg, CFA, and Reshma Rajagopalan, CFA, Quant & Analytics Specialist at FactSet, discuss how risk budgeting, risk modeling, and risk assessment tools add value in the portfolio management process and can help investors stick to their investment plan and allocations, especially through turbulent periods, to achieve better performance outcomes.

967 Listeners

2,178 Listeners

194 Listeners

941 Listeners

802 Listeners

184 Listeners

57 Listeners

212 Listeners

1,298 Listeners

76 Listeners

88 Listeners

444 Listeners

9 Listeners

349 Listeners

12 Listeners

78 Listeners

26 Listeners

19 Listeners