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Stock Info and Tips - Portfolio Diversification

The Chicago Board of Trade's publication, "Managed Futures, Portfolio Diversification Opportunities" shows a portfolio with the greatest risk and least returns was comprised of 55% stocks, 45% bonds and 0% managed futures, while a portfolio comprised of 45% stocks, 35% bonds and 20% managed futures exhibited the greatest returns and least risk.

The risk of trading futures, options, and foreign exchange can be substantial. Past performance is not necessarily indicative of future results. The factual information of this report has been obtained from sources believed to be reliable, but is not necessarily all-inclusive and its accuracy can not be guaranteed.


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Stock Info and Tips - Modern Portfolio Theory

Modern Portfolio Theory was first introduced by economist Dr. Harry M. Markowitz in 1952 when he authored "Portfolio Selection" for the Journal of Finance.

In 1990, Dr. Markowitz won the Nobel Prize for his contributions to financial economics. Although economists had long understood the common sense of portfolio diversification, what Dr. Markowitz demonstrated was how to measure the risk of various securities, and how to combine them in a portfolio to achieve maximum return for a given risk.

The concept of Modern Portfolio Theory was further advanced by Harvard professor Dr. John Litner in his 1983 study; "The Potential Role of Managed Commodity Financial Futures Accounts In Portfolios of Stocks and Bonds." His conclusion:

"Portfolios...including judicious investments... in leveraged managed futures accounts show substantially less risk at every possible level of expected return than portfolios of stocks (or stocks and bonds) alone."

Today, a variety of academic evidence demonstrates the potential benefit of using managed futures to create a better balance for a stock and bond portfolio.

 

Secrets to Buying Commodity Options

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Copyright (c) 2005. EdgeFinancialGroup.com - Commodity Trading & Investment Brokers. All rights reserved.

Futures and options trading is not suitable for everyone. It is speculative in nature and a substantial risk of loss exists; only invest risk capital. Any statement of fact herein is derived from sources deemed to be reliable, but are not guaranteed as to accuracy, nor are they purported to be complete. Options and futures do not move in tandem, and seasonal factors do not in and of themselves influence the market. Past performance is not necessarily indicative of future results. The possibility of large movement in commodity contracts is remote, and currently known news may already be factored into the market. The price movements in examples contained herein are for reference only and do not necessarily imply that any Edge clientele has or will achieve similar results.

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