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Latest issues

Carhart Model: Four-Factor Asset Pricing Explained

Carhart Model: Four-Factor Asset Pricing Explained

Dive into the Carhart Model, a powerful four-factor asset pricing tool that extends the Fama-French model. Explore its origins, applications, and impact on modern finance and investment strategies.
Fama-French Model: Revolutionizing Investments

Fama-French Model: Revolutionizing Investments

Discover how the Fama-French Model transformed investment analysis by introducing size and value factors. Learn its applications, limitations, and impact on modern portfolio theory in this comprehensive guide.
Behavioral Finance: The Psychology of Investing

Behavioral Finance: The Psychology of Investing

Explore how psychological factors influence investment decisions. Discover key principles of behavioral finance, common investor biases, and practical applications for smarter investing. Learn to recognize and overcome emotional pitfalls in the financial markets.
CAPM: Decoding Investment Risk and Return

CAPM: Decoding Investment Risk and Return

Explore the Capital Asset Pricing Model (CAPM), a cornerstone of modern finance. Understand how this benchmark model helps investors assess risk, estimate returns, and make informed investment decisions in today's dynamic financial markets.
Mastering Cumulative Abnormal Return (CAR)

Mastering Cumulative Abnormal Return (CAR)

Dive into the world of Cumulative Abnormal Return (CAR) and discover how this powerful financial metric can help investors identify market inefficiencies, evaluate corporate events, and potentially achieve market-beating returns.
Benchmark Models: Navigating Investment Seas

Benchmark Models: Navigating Investment Seas

Dive into the world of benchmark models in investing, from CAPM to Carhart. Explore how these financial compasses guide investment decisions, assess risk, and evaluate performance in the ever-changing market landscape.