Deep Dive: CFA® Level I Prep 2026

PORT - Portfolio Risk and Return: Part I

Jul 12, 2025 · 26 min · Season 9 · Episode 1 · 26.0 MB
0:00-26:49

Streams straight from the publisher. PodNod never proxies or re-hosts episode audio.

This chapter lays the foundations of modern portfolio theory. It reviews the historical risk-return profile of major asset classes, explains risk aversion and utility, shows how diversification shapes the minimum-variance and efficient frontiers, and demonstrates how investors combine a risk-free asset with risky portfolios to reach an optimal allocation. :contentReference[oaicite:0]{index=0}