Portfolio committee - PowerPoint PPT Presentation


Resident & Fellow Portfolio Training Program

Discover how the Portfolio suite of applications, including Epic and Cerner, is revolutionizing healthcare processes at UMMS. With enhanced clinical decision-making, improved care continuity, and valuable insights for leaders, the platform is driving patient-focused healthcare delivery. Learn about

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Cisco Systems Fault Managed Power Portfolio Overview

Cisco Systems offers an industry-leading Fault Managed Power (FMP) patent portfolio comprising 24 active assets across seven INPADOC families. The portfolio includes patents supporting fault-managed power systems, PoE deployments, DC power distribution, DC-DC conversion, and HVDC connectors. The FMP

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Introduction to Portfolio-Based Learning in IAS

Explore the concept of portfolio-based learning at IAS through courses like BIS 300 and BIS 499. Learn how to create and showcase your artifacts in a meaningful portfolio for academic and professional purposes. Understand the significance of archiving your work and organizing your portfolio to demon

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Experiential Learning Portfolio: Earn College Credit and Save Time

Explore the innovative Online Experiential Learning Portfolio Program offered by Barry University. This program allows you to earn college credit by demonstrating your real-world experiences, reducing time to degree completion and saving on tuition costs. Find out how to equate your prior learning t

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Portfolio Theory and CAPM in Corporate Finance

Exploring the Capital Asset Pricing Model (CAPM) and portfolio theory in corporate finance, this chapter covers topics such as expected returns with ex-ante probabilities, portfolio variability measures, asset diversification strategies, and portfolio returns calculation. Through formulas and exampl

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Fundamentals of Portfolio Management and Risk Aversion in Investing

Portfolio theory is based on the principles of maximizing returns for a given risk level, considering all assets owned. Investors typically exhibit risk aversion, preferring lower risk assets for similar returns. Risk is defined as future outcome uncertainty. Markowitz Portfolio Theory highlights th

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Experiential Learning Portfolio Program at Barry University

Experiential Learning Portfolio Program at Barry University's School of Professional and Career Education (PACE) offers a unique opportunity to earn college credit for learning gained from work and community service experiences. Through this program, students can showcase their experiential learning

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Parliamentary Portfolio Committee Briefing on 2019-20 Annual Performance Plan

This briefing by Adv. Thabo Mokoena outlines the 2019-20 Annual Performance Plan for the Parliamentary Portfolio Committee. The presentation covers various programmes including Corporate Services, providing a roadmap for the committee's activities in the upcoming year.

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Portfolio Evaluation, Management, and Risk-Adjusted Performance

Explore the world of portfolio evaluation by Dr. Pravin Agrawal, Ph.D. in Finance. Delve into the intricacies of portfolio management, balancing strengths and weaknesses in debt vs. equity, domestic vs. international investments, and more. Learn about measuring portfolio performance and risk-adjuste

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Techniques for Portfolio Performance Measurement

Explore various techniques for evaluating portfolio performance, including raw return analysis, risk-adjusted return metrics like Sharpe Ratio and Treynor Ratio, and composite portfolio performance measures. Learn about measuring performance with multiple risk factors and the challenges faced by por

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Geospatial Portfolio Management and NGDA Themes Overview

Explore the roles and responsibilities of Theme Leads, Dataset Managers, and the Investment Collaboration Process in Geospatial Portfolio Management. Understand the significance of National Geospatial Data Assets (NGDA) Themes, Theme Lead Agency roles, and the proposed NGDA Themes for effective port

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Pilot Factsheet on Cabo Verde's Resources and Portfolio Performance

Focused on improving resource utilization, enhancing portfolio performance, and strengthening oversight, the pilot factsheet for Cabo Verde provides key information on the country's use of resources and portfolio management. It highlights the allocation and utilization of GEF-7 resources, ongoing pr

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Webtrader Portfolio Update: Breaks Above R10m with Weaker Rand Protection - BizNews Share Portfolio

Webtrader portfolio experienced growth above R10m with a weaker rand protection, showcasing a CAGR of 12.0% in $ and 18.7% in Rand over 8.75 years. Share values fluctuated, with some surprising top performers this month, including AECI, CoreCivic, NVIDIA, and more. Recent additions of ASML and Adobe

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Enhancing Student Performance Through Portfolio Assessment in Foundation Programs

Developing a portfolio assessment methodology for foundation students aimed at improving their writing, critical thinking, and reflective skills. The portfolio includes a reflective journal, annotated bibliography, and essay plan to scaffold sub-skills for major assessments. Results show significant

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An Overview of P@N: Portfolio@Naz Chalk & Wire for Student Assessment

Explore the functionalities of P@N, an electronic portfolio tool for students to archive, track their learning, and demonstrate knowledge. It provides a common interface for faculty/staff to assess student work against program SLOs, core rubrics, and criteria, aiding in program improvement and asses

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Hellenic Bank Sale Agreement & Portfolio De-Risking Transaction

Hellenic Bank has finalized a significant transaction involving the sale of a non-performing exposures portfolio and APS Debt Servicer to Oxalis, resulting in substantial de-risking of its balance sheet. The agreement includes the securitisation of NPEs and sale of the servicing platform. The transa

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Pain Opioid Actively Managed Portfolio (POp.AMP): Research Advisory Committee Overview

The Pain Opioid Actively Managed Portfolio (POp.AMP) focuses on addressing pain, opioid addiction, and suicide prevention through proactive management, agile funding mechanisms, and collaboration with various stakeholders. The committee utilizes a rotational leadership model to ensure efficient rese

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Cisco EV Charging Patent Portfolio Overview

The Cisco EV Charging portfolio consists of 11 active assets across various innovative technologies such as intelligent coil control for wireless power transfer, precision coil alignment techniques, and autonomous vehicle navigation in charging facilities. These patents cover a range of groundbreaki

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JMP as a FinTech Robo: Portfolio Visualization & Rebalancing Advisor

Explore how JMP can be utilized as a FinTech Robo Advisor for portfolio visualization and automatic rebalancing. Discover the importance of rebalancing portfolios annually to protect investments and potentially enhance returns. Dive into the advantages of maintaining a balanced portfolio and the ste

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Progress Update on Portfolio Management Action Plan for National Geospatial Advisory Committee Meeting

The update entails the implementation status of the A-16 Portfolio Management Action Plan discussed at the National Geospatial Advisory Committee Meeting on June 6, 2013. Key points include GAO recommendations, team approach strategies, action plans, and the status of implementing these actions. Not

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Corporate Credit and Portfolio Review in Residential Care Facilities Conference

Explore key topics discussed at the U.S. Department of Housing and Urban Development Eastern Lenders Conference focusing on corporate credit and portfolio review in residential care facilities. Topics covered include portfolio definitions, project types, risk mitigation requirements, and portfolio r

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Do Portfolio Solvers Harm?

This content discusses the impact of portfolio solvers on automated reasoning, focusing on the work of Christoph Weidenbach. It explores topics such as CDCL reasoning, Bernays-Schoenfinkel calculi, and the potential of model portfolio calculus. The research direction towards SM portfolio solving is

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UAS R&D Portfolio - Research and Development Summary

This portfolio encompasses various facets of research and development related to Unmanned Aircraft Systems (UAS), including technology development, aviation safety research, and integration into the National Airspace System. Key areas of focus include concept validation, operational integration, and

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Portfolio theory

In the realm of finance, portfolio theory plays a crucial role in investment decisions by analyzing the relationship between assets and returns. Descriptive statistics, on the other hand, provide valuable insights from data regarding means, variances, and standard deviations. Covariance and correlat

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GEN ED PORTFOLIO Q & A

Dive into portfolio theory, a fundamental concept in finance that focuses on creating a diversified investment mix to manage risk and optimize returns. Understand the principles of asset allocation, risk assessment, and return expectations to build a resilient investment portfolio. Learn how to bala

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Modern Portfolio Theory and Diversification

Harry Markowitz's Modern Portfolio Theory emphasizes forming diversified portfolios to maximize returns while minimizing risks. It involves analyzing securities' expected returns, risks, and correlations. Diversification is key in combining securities that move differently over time to reduce overal

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Practical Challenges in Portfolio Optimization

This paper delves into the practical challenges and current trends in portfolio optimization, discussing aspects related to using portfolio optimization in practice and highlighting new methods and developments. The content covers a brief introduction, Mean-Variance Optimization (MVO), extensions of

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Corporate Portfolio Analysis Techniques

Explore the concept of corporate portfolio analysis techniques, such as the GE Nine-Cell Matrix, Boston Consulting Group's product portfolio, and more. Learn how strategists make strategic decisions regarding products and businesses in a firm's portfolio.

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Mahara Platform: Your Personalized E-Portfolio Solution

Discover Mahara, an innovative e-portfolio technology platform that empowers you to showcase your digital material, share your portfolio with others, and take it with you beyond your academic journey. Login to Mahara, copy templates, build your portfolio, and edit pages effortlessly. Start your pers

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Portfolio Management for Financial Success

Learn about portfolio management, the art of selecting and overseeing investments to achieve long-term financial goals. Discover how it reduces risk, aids decision-making, and guides in building the best investment portfolio through phases like security analysis, portfolio selection, and revision.

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Portfolio Management and Evaluating Investments

Discover the world of portfolio management and investment evaluation, including market participants, performance evaluation, portfolio return calculations, relative returns, risk measures, and a review of portfolio theory. Explore how portfolio managers make decisions, analyzing total returns, calcu

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Portfolio Selection and Risk Management

Explore the principles of portfolio selection and risk management in finance, emphasizing the importance of diversification and asset allocation. Learn how to identify optimal risk-return combinations, choose a portfolio based on preferences, and understand the concept of the efficient frontier. Dis

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Portfolio Management Fundamentals

This session delves into the essentials of portfolio management, covering topics such as defining a portfolio, understanding investments, investment management, types of investors, and portfolio securities. Gain insights into the modern portfolio theory and learn about different asset classes, inclu

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Efficient Portfolio Management Strategies: Understanding Risk and Return Relationship

Learn about portfolio management strategies from Prof. Anil Kothari, focusing on portfolio risk, efficient frontiers, and the Capital Market Line. Discover how to choose the best portfolio based on risk and return considerations to maximize investment efficiency.

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Efficient Portfolio Management Strategies by Prof. Anil Kothari

Enhance your knowledge of portfolio risk, efficient frontiers, and capital market lines with insights from Prof. Anil Kothari. Learn how to select the best portfolio, determine efficient sets, and optimize returns relative to risk in portfolio management.

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Understanding Portfolio Management: An Overview

Portfolio management involves selecting the right investment policy to maximize returns while minimizing risks. It encompasses managing various investment tools like stocks, bonds, and mutual funds based on an individual's financial needs and goals. Through portfolio management, individuals can achi

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Effective Portfolio Management Strategies for Maximum Return

Explore the concept of portfolio management, which involves security analysis and portfolio maintenance to achieve optimal returns while minimizing risk. Learn about the portfolio management process, investment objectives, asset allocation, and the key steps to successful portfolio management.

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Stress Testing and Scenario Planning for Portfolio Management

Explore the importance of stress testing and scenario planning in managing a portfolio effectively. Consider factors like reinsurer risk acceptance criteria, capital adequacy, and measuring portfolio risk. Evaluate the need to stress test your portfolio for a detailed understanding of treaty structu

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Portfolio Risk and Return with the Capital Asset Pricing Model

Explore the concepts of portfolio risk and return, Markowitz portfolio theory, efficient frontiers, and diversification in the context of the Capital Asset Pricing Model (CAPM). Learn how adding securities to a portfolio can reduce risk, the impact of correlation coefficients, the principles of port

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Cabo Verde Resources Utilization and Portfolio Performance

Explore the pilot factsheet focusing on Cabo Verde's resources use and portfolio performance. Gain insights into better resource utilization, portfolio performance enhancement, coordination with agencies, and steps for improved delivery and oversight. Get a better understanding of the country's basi

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