Last chance to get access to the Portfolio Construction and Risk Management book including all benefits.
The book contains many new results related to portfolio optimization with parameter uncertainty, intelligent rebalancing, and high-dimensional market simulation.
In addition to that, it fills the gaps of my public articles and pedagogically explains the subtle details of the investment framework and methods.
If you get access before November 2, you get all the benefits at the lowest price.
It is not certain that the book will be made freely available once it is finished, so the crowdfunding might be the cheapest opportunity for you to get it.
See the latest sneak peek and get access here:
Select “Other Amount” to avoid the platform tip and see the video for more information.