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Portfolio Management Strategies, by Lorman

Portfolio Management Strategies is brought to you by Lorman

Understand the financial markets, the inherent risks, and the best strategies for asset allocation and portfolio balancing.

There are two approaches to investing – passive and active. One requires a constant monitoring system either individually or through automation; the other involves an investment professional. Either way, every investor needs to understand the risks in the financial markets and the impact on the portfolio. Most important, when financial markets become volatile or shift, what are the proper strategies for ensuring the portfolio is balanced. This course will help investors and professionals better understand the financial markets, the inherent risks, and the best strategies for asset allocation and portfolio balancing.

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