Ses 13: Risk and Return II & Portfolio Theory I
MIT 15.401 Finance Theory I, Fall 2008 View the complete course: http://ocw.mit.edu/15-401F08 Instructor: Andrew Lo License: Creative Commons BY-NC-SA More information at http://ocw.mit.edu/terms More courses at http://ocw.mit.edu

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Ses 14: Portfolio Theory II

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Ses 9: Forward and Futures Contracts I

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"A.I. and Our Economic Future," Professor Chad Jones

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Lecture 13: Portfolio Management

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I Was 100% in a Global Index Fund Until I Realised This

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Howard Marks: 78 Years of Investing Wisdom in 60 Minutes (MUST WATCH)

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Turing Award Winner: Disagreeing with Google, Postgres, Future Problems | Mike Stonebraker

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Jeremy Grantham on why this market will fall by 50% but nobody will warn you

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Fed Cuts Rates by 25 Basis Points | Jay Powell Press Conference

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Ses 15: Portfolio Theory III & The CAPM and APT I

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13. Banks

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Ses 10: Forward and Futures Contracts II & Options I

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AI Bubble Will Burst Eventually Says Bridgewater's Ray Dalio

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Legendary Trader Paul Tudor Jones on AI Risk, Bubbles and Buffett

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Sarah Paine - Why Putin and Xi can't escape geography

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In Pursuit of the Perfect Portfolio: Harry M. Markowitz

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Hard Lessons: Stan Druckenmiller: Invest, then investigate

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Ses 18: Capital Budgeting II & Efficient Markets I

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Ses 20: Efficient Markets III & Course Summary

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