Optimal Portfolio Modeling by Philip McDonnell teaches you to harness the power of Excel and R to push your trading portfolio to the limits.
Course Overview
Optimal Portfolio Modeling: Models to Maximize Returns and Control Risk in Excel and R by Philip McDonnell is an easily accessible introduction to portfolio modeling for those who prefer an intuitive approach to this discipline. While early chapters provide engaging insights on the statistical properties of markets, this book quickly moves on to illustrate invaluable trading and risk control models based on popular programs such as Excel and the statistical modeling language R. This reliable resource presents modeling formulas that will allow you to do technical analysis, including effectively maximizing the performance, minimizing the drawdown, and managing the risk of your portfolio.
Course Outline
- Chapter 1 Modeling Market MicrostructureRandomness in Markets
- Chapter 2 Distribution of Price Changes
- Chapter 3 Investment Objectives
- Chapter 4 Modeling Risk Management and Stoploss Myths
- Chapter 5 Maximal Compounded Return Model
- Chapter 6 Utility ModelsPreferences Toward Risk and Return
- Chapter 7 Money Management Formulas Using the Joint Multiasset Distribution
- Chapter 8 Proper Backtesting for Portfolio Models
- Chapter 9 The Combined Optimal Portfolio Model
What Will You Learn?
- The random walk model
- What you cannot predict is random to you
- Market microstructure
- Efficient Market Hypothesis
- Arbitrage Pricing Theory
- And many more
Who is This Course For?
Optimal Portfolio Modeling: Models to Maximize Returns and Control Risk in Excel and R – Philip McDonnell requires a broad range of knowledge, including Excel or R, which is the reason why it may only benefit advanced traders with prior knowledge.
Philip McDonnell
Please Login/Register if you want to leave us some feedback to help us improve our services and products.
RELATED COURSES
VIEW ALL-
Professional Trading Masterclass – Anton KreilDOWNLOADProfessional Trading Masterclass – Anton KreilUpdate 06 Nov 2022AdvancedDOWNLOADThis course teaches you how to set yourself apart from the masses as 90%of traders fail to make cash when buying and selling the stock marketplace. This course will provide you with the needed knowledge and tools to be in the top 10%.
Add to wishlist -
Winning Chart Patterns – Ken CalhounDOWNLOADWinning Chart Patterns – Ken CalhounUpdate 11 Nov 2022BeginnerDOWNLOADWinning Chart Patterns by Ken Calhoun helps you to learn about technical analysis. It contain 4 videos by ken calhoun from trading television and day trading university.
Add to wishlist -
Pristine: Breadth and Sentiment Market Internals – Greg CapraDOWNLOADPristine: Breadth and Sentiment Market Internals – Greg CapraUpdate 16 Dec 2022All LevelsDOWNLOADPristine: Breadth and Sentiment Market Internals by Greg Capra walks you through practical techniques to decode market trend patterns for insights to develop practical strategies. Illustrated case studies and examples bring more practical insights into strategy development and risk management.
Add to wishlist -
Jeanne Long – Basic AstrotechDOWNLOADJeanne Long – Basic AstrotechUpdate 07 Nov 2022BeginnerDOWNLOADBasic Astrotech by Jeanne Long lays the foundation for trading commodities and technical analysis using spectacular geo-cosmic energy fields.
Add to wishlist -
The Rare Writings of W.D Gann – Bradley F. CowanDOWNLOADThe Rare Writings of W.D Gann – Bradley F. CowanUpdate 07 Nov 2022All LevelsDOWNLOADThe Rare Writings of W.D Gann by Bradley F. Cowan provides you with the father’s rare methods for technical analysis.
Add to wishlist -
The EAP Training Program (Apr 2019) – EAP Training ProgramDOWNLOADThe EAP Training Program (Apr 2019) – EAP Training ProgramUpdate 05 Nov 2022All LevelsDOWNLOADNew to trading? Worry not as The EAP Training Program 2019 will give you everything you need to become a successful trader in financial markets.
Add to wishlist

Reviews
There are no reviews yet.