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Eduzan
Eduzan / CFA Level 1

Module 11: Portfolio Management

Portfolio management is the process of selecting and managing a collection of investments in order to achieve specific financial objectives. The primary goal of portfolio management is to balance risk and return based on an investor’s risk tolerance, investment horizon, and financial goals.

Rather than investing in a single asset, investors combine multiple assets such as stocks, bonds, and other securities to create a diversified portfolio. A well constructed portfolio helps reduce overall risk while maintaining the potential for attractive returns.

Portfolio management involves analyzing market conditions, selecting appropriate investments, monitoring portfolio performance, and adjusting asset allocations when necessary.

This module introduces the key concepts used in portfolio construction and risk management.


End of lesson.