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Developing Portfolio Optimization Models

by Linda Webb

 

29 Dec 2006 (Updated 02 Jan 2007)

Use MATLAB and Financial Toolbox to construct realistic, optimal portfolios that are stable over tim

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"Portfolio optimization was first developed in the 1950s, but a number of practical and theoretical problems have limited its use by investment managers. For example, it is often difficult to obtain sufficient high-quality historical data for thorough analysis. In addition, the efficient frontier where optimal portfolios lie tends to shift over time, quickly making these portfolios suboptimal.

Modern data analysis tools, such as MATLAB and Financial Toolbox, can overcome these challenges.

Using the Dow Jones Industrial Average as a benchmark, we will implement a portfolio optimization methodology based on capital asset pricing and mean-variance analysis. Our goals are to use consistent, repeatable steps and to construct realistic, optimal portfolios that are stable over time....."

By Bob Taylor. The MathWorks

This article appeared in The MathWorks News & Notes, October 2006, which you can read at http://www.mathworks.com/company/newsletters/

MATLAB release MATLAB 7.3 (R2006b)
Other requirements none
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whitepaper Linda Webb 22 Oct 2008 08:54:36
article Linda Webb 22 Oct 2008 08:54:36
paper Linda Webb 22 Oct 2008 08:54:36
matlab Linda Webb 22 Oct 2008 08:54:36
financial toolbox Linda Webb 22 Oct 2008 08:54:36
portfolio Linda Webb 22 Oct 2008 08:54:36
financial Linda Webb 22 Oct 2008 08:54:36
datafeed toolbox Linda Webb 22 Oct 2008 08:54:36
article hector 26 Nov 2008 12:49:41
article Andres Licona 14 May 2009 08:36:40
datafeed toolbox Francisco Javier Rincon 11 Mar 2012 19:01:16

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