Free Sample of Portfolio Optimization
Free Sample of Portfolio Optimization
PORTFOLIO OPTIMIZATION
0.005
Correlation (r) 40.0%
w1 E1s 22 E2 rs 1s 2 )
Opp Set Curve 40.0%
Opp Set Curve 50.0%
Opp Set Curve 60.0% / E1s 22 E2s 12 E1 E2 ) rs 1s 2 )
Opp Set Curve 70.0%
Opp Set Curve 80.0%
Opp Set Curve 90.0%
Opp Set Curve 100.0%
Opp Set Curve 110.0%
Opp Set Curve 120.0%
Opp Set Curve 250.0%
Opp Set Curve 750.0%
Opt Risky Port
Cap Alloc Line 0.0%
Cap Alloc Line 1000.0%
Indifference Curve 0.0%
Indifference Curve 1.0%
Indifference Curve 2.0%
Indifference Curve 3.0%
Indifference Curve 4.0%
Indifference Curve 5.0%
Indifference Curve 6.0%
Indifference Curve 7.0%
Indifference Curve 8.0%
Indifference Curve 9.0%
Indifference Curve 10.0%
Indifference Curve 11.0%
Indifference Curve 12.0%
Indifference Curve 13.0%
Indifference Curve 14.0%
Indifference Curve 15.0%
Opt Comp Port
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
Stock Stock Stock Stock
Correlations Barrick Gold (ABX) IBM (IBM) Korea Electric (KEP) Siemens (SI)
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
Stock Stock Stock Stock
Covariances Barrick Gold (ABX) IBM (IBM) Korea Electric (KEP) Siemens (SI)
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
0.0000
Stock Stock US FF Port US FF Port US FF Port US FF Port US FF Port
Grupo Televisa (TV) YPF (YPF) Small-Growth Small-Neutral Small-Value Big-Growth Big-Neutral
Stock Stock US FF Port US FF Port US FF Port US FF Port US FF Port
Grupo Televisa (TV) YPF (YPF) Small-Growth Small-Neutral Small-Value Big-Growth Big-Neutral
US FF Port Country ETF Country ETF Country ETF Country ETF Country ETF
Big-Value Australia (EWA) Canada (EWC) Germany (EWG) Malaysia (EWM) Mexico (EWW)
US FF Port Country ETF Country ETF Country ETF Country ETF Country ETF
Big-Value Australia (EWA) Canada (EWC) Germany (EWG) Malaysia (EWM) Mexico (EWW)
Country ETF
Singapore (EWS)
Country ETF
Singapore (EWS)
Ass.
F...
PORTFOLIO OPTIMIZATION Many Risky Assets and a Riskfre
Inputs
0 0.00% 50 0.00% 50
0.015
0 0.00% 50 0.00% 50
0.01
0 0.00% 50 0.00% 50
0.005
0 0.00% 50 0.00% 50
0
0.0% 5.0% 1
Standard Deviation (s)
0 0.00% 50 0.00% 50
12
0 0.00% 50 0.00% 50 Portfolio Weights of
Portfolio Weights
and the Optim
10
Correlations
0 0 0 0 0 0 8
0 100.0% 0.0% 0.0% 0.0% 0.0% 0.0%
6
0 0.0% 100.0% 0.0% 0.0% 0.0% 0.0%
4
0 0.0% 0.0% 100.0% 0.0% 0.0% 0.0%
2
0 0.0% 0.0% 0.0% 100.0% 0.0% 0.0%
0
US Riskfree
US Riskfree
0
Optim
Optim
10
10 10
10 10 10
10 10 10 10
10 10 10 10 10
Standard Deviations
0 0 0 0 0 0
Variance-Covariance Matrix
0 0 0 0 0 0 US Riskfree
0 0
0 0
0 0
0 0
0 0
0 0
Outputs
A
B
C
Delta
Gamma
12
Portfolio Weights of the Optimal Risky Portfolio
Portfolio Weights
0
US Riskfree
US Riskfree
0
Optimal Risky Portfolio
Optimal Complete Portfolio
One plus
Exp Ret
[1 + E(ri)] Ones
Optimal
Complete Optimal
Portfolio Complete
Expected Portfolio
Ret / Mon Weights
PORTFOLIO OPTIMIZATION Any Number of Risky Assets
Inputs
Correlations
Risky Asset Risky Risky Asset Risky Risky Risky Risky Risky
1 Asset 2 3 Asset 4 Asset 5 Asset 6 Asset 7 Asset 8
Risky Asset 1 100.00% 13.10% 12.43% 36.20% 6.94% -12.59% 26.96% 12.01%
Risky Asset 2 13.10% 100.00% 9.34% 40.27% 5.32% 3.64% 31.03% -10.96%
Risky Asset 3 12.43% 9.34% 100.00% 24.57% 14.44% -24.69% 9.62% 10.51%
Risky Asset 4 36.20% 40.27% 24.57% 100.00% 30.17% 5.62% 32.48% 20.06%
Risky Asset 5 6.94% 5.32% 14.44% 30.17% 100.00% -9.71% 28.61% 17.16%
Risky Asset 6 -12.59% 3.64% -24.69% 5.62% -9.71% 100.00% 3.65% -4.70%
Risky Asset 7 26.96% 31.03% 9.62% 32.48% 28.61% 3.65% 100.00% 10.65%
Risky Asset 8 12.01% -10.96% 10.51% 20.06% 17.16% -4.70% 10.65% 100.00%
Risky Asset 9 35.70% 26.24% 27.20% 11.90% 0.23% 6.93% 7.93% 11.76%
Risky Asset 10 -3.26% 4.83% -0.09% 5.28% 4.81% -4.92% 20.70% 4.69%
Risky Asset 11 27.37% 12.12% 19.70% 13.51% 16.44% -1.19% 11.01% -3.32%
Risky Asset 12 40.68% -1.15% 21.47% 19.12% 17.04% -10.65% 20.40% 19.84%
Risky Asset 13 -19.75% -11.23% 9.14% -4.31% 26.46% -2.43% -2.68% -16.80%
Risky Asset 14 20.96% -8.07% 43.25% 20.46% 20.33% -5.86% 3.53% 25.51%
Risky Asset 15 -1.21% 16.45% 2.81% 1.88% 11.22% -4.72% 19.40% 3.00%
Risky Asset 16 20.56% -4.67% 13.21% 4.97% 9.75% 24.89% -14.49% -16.67%
Risky Asset 17 29.10% -1.07% 38.18% 21.72% 27.95% -8.05% 34.49% 42.86%
Risky Asset 18 -17.51% 12.42% 4.99% 21.44% -13.18% 42.53% 12.72% 0.89%
Risky Asset 19 32.29% -4.50% 19.04% 20.05% 23.93% -12.44% 2.84% 29.53%
Risky Asset 20 10.38% 7.59% 13.52% 17.99% -7.45% 32.37% 8.33% 11.57%
Standard Deviations
Risky Asset Risky Risky Asset Risky Risky Risky Risky Risky
1 Asset 2 3 Asset 4 Asset 5 Asset 6 Asset 7 Asset 8
Variance-Covariance Matrix
Risky Asset Risky Risky Asset Risky Risky Risky Risky Risky
1 Asset 2 3 Asset 4 Asset 5 Asset 6 Asset 7 Asset 8
Risky Asset 1
Risky Asset 2
Risky Asset 3
Risky Asset 4
Risky Asset 5
Risky Asset 6
Risky Asset 7
Risky Asset 8
Risky Asset 9
Risky Asset 10
Risky Asset 11
Risky Asset 12
Risky Asset 13
Risky Asset 14
Risky Asset 15
Risky Asset 16
Risky Asset 17
Risky Asset 18
Risky Asset 19
Risky Asset 20
Outputs
A
B
C
Delta
Gamma
12
Portfolio Weights
l Allocation Line, and Indifference Curve
10
0
Riskfree
16
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
17
18
19
s) Optimal Risky Portfolio Optimal Complete Portfolio
Risky Risky Risky Risky Risky Risky Risky Risky Risky Risky
Asset 9 Asset 10 Asset 11 Asset 12 Asset 13 Asset 14 Asset 15 Asset 16 Asset 17 Asset 18
35.70% -3.26% 27.37% 40.68% -19.75% 20.96% -1.21% 20.56% 29.10% -17.51%
26.24% 4.83% 12.12% -1.15% -11.23% -8.07% 16.45% -4.67% -1.07% 12.42%
27.20% -0.09% 19.70% 21.47% 9.14% 43.25% 2.81% 13.21% 38.18% 4.99%
11.90% 5.28% 13.51% 19.12% -4.31% 20.46% 1.88% 4.97% 21.72% 21.44%
0.23% 4.81% 16.44% 17.04% 26.46% 20.33% 11.22% 9.75% 27.95% -13.18%
6.93% -4.92% -1.19% -10.65% -2.43% -5.86% -4.72% 24.89% -8.05% 42.53%
7.93% 20.70% 11.01% 20.40% -2.68% 3.53% 19.40% -14.49% 34.49% 12.72%
11.76% 4.69% -3.32% 19.84% -16.80% 25.51% 3.00% -16.67% 42.86% 0.89%
100.00% 18.77% 26.80% 12.59% -19.86% 9.69% 17.19% 14.90% 20.74% -10.70%
18.77% 100.00% -22.66% 16.43% -9.59% -15.59% 12.08% -10.33% 19.57% -22.69%
26.80% -22.66% 100.00% 3.40% -3.14% 25.60% 13.61% 26.44% 19.26% -12.97%
12.59% 16.43% 3.40% 100.00% -10.97% 27.69% 6.12% 16.66% 31.84% -0.78%
-19.86% -9.59% -3.14% -10.97% 100.00% 16.11% -12.94% 2.32% -2.98% 9.56%
9.69% -15.59% 25.60% 27.69% 16.11% 100.00% -10.87% -8.18% 24.28% 2.13%
17.19% 12.08% 13.61% 6.12% -12.94% -10.87% 100.00% 16.05% -0.50% -19.14%
14.90% -10.33% 26.44% 16.66% 2.32% -8.18% 16.05% 100.00% 8.06% 17.85%
20.74% 19.57% 19.26% 31.84% -2.98% 24.28% -0.50% 8.06% 100.00% -13.84%
-10.70% -22.69% -12.97% -0.78% 9.56% 2.13% -19.14% 17.85% -13.84% 100.00%
17.31% -27.53% 17.78% 13.45% 2.00% 24.26% 20.22% 3.77% 15.10% -17.19%
-0.14% -17.80% 30.26% 25.01% -9.08% 22.91% 9.94% 23.14% 4.28% 29.70%
Risky Risky Risky Risky Risky Risky Risky Risky Risky Risky
Asset 9 Asset 10 Asset 11 Asset 12 Asset 13 Asset 14 Asset 15 Asset 16 Asset 17 Asset 18
Risky Risky Risky Risky Risky Risky Risky Risky Risky Risky
Asset 9 Asset 10 Asset 11 Asset 12 Asset 13 Asset 14 Asset 15 Asset 16 Asset 17 Asset 18
Optimal
Complete
Portfolio
Weights
o
16
13
14
15
17
18
19
20
Complete Portfolio
Risky Risky
Asset 19 Asset 20
32.29% 10.38%
-4.50% 7.59%
19.04% 13.52%
20.05% 17.99%
23.93% -7.45%
-12.44% 32.37%
2.84% 8.33%
29.53% 11.57%
17.31% -0.14%
-27.53% -17.80%
17.78% 30.26%
13.45% 25.01%
2.00% -9.08%
24.26% 22.91%
20.22% 9.94%
3.77% 23.14%
15.10% 4.28%
-17.19% 29.70%
100.00% -0.41%
-0.41% 100.00%
Risky Risky
Asset 19 Asset 20
One plus
Exp Ret
[1 + E(ri)] Ones
Risky Risky
Asset 19 Asset 20 Riskfree 100.3%
Risky Asset 1 101.6% 100.0%
Risky Asset 2 100.2% 100.0%
Risky Asset 3 100.8% 100.0%
Risky Asset 4 100.2% 100.0%
Risky Asset 5 101.6% 100.0%
Risky Asset 6 99.5% 100.0%
Risky Asset 7 101.5% 100.0%
Risky Asset 8 100.6% 100.0%
Risky Asset 9 99.5% 100.0%
Risky Asset 10 100.7% 100.0%
Risky Asset 11 101.9% 100.0%
Risky Asset 12 101.0% 100.0%
Risky Asset 13 99.5% 100.0%
Risky Asset 14 102.3% 100.0%
Risky Asset 15 101.4% 100.0%
Risky Asset 16 101.9% 100.0%
Risky Asset 17 101.8% 100.0%
Risky Asset 18 101.5% 100.0%
Risky Asset 19 100.5% 100.0%
Risky Asset 20 101.6% 100.0%