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Portfolio Optimization Product Information
To introduce Portfolio Optimization, we are offering a special promotion! Only $18 U.S. for the full version until February 24, 2020! Click here to order now!
Portfolio Optimization Overview:
The Portfolio Optimization model calculates the optimal capital weightings for a basket of investments that gives the highest return for the least risk. The unique design of the model enables it to be applied to either financial instrument or business portfolios. The ability to apply optimization analysis to a portfolio of businesses represents an excellent framework for driving capital allocation, investment, and divestment decisions.
The key features of the Portfolio Optimisation template include:
- Ease and flexibility of input, with embedded help prompts.
- Ability to specify the number of units held in each product or business.
- Specify minimum and maximum constraints for the optimised portfolio.
- Unique 'Maintain Current Return Level' option to ensure that return is not deteriorated at the expense of risk.
- Modify correlation matrix and portfolio dynamics before optimization process.
- Intuitive graphical result display with Monte Carlo simulation, including probability analysis on specified 'Target' return level.
(Requires Microsoft Excel 97 or above)
Try the free trial version first, or click here for pricing/to purchase a full version! Order by phone, fax, cheque, money order, or order securely online!