
Episode 264: Assorted Monte Carlo Simulations, Leveraged Portfolios, Valuation-Related Crystal Balls And Portfolio Reviews As Of June 2, 2023
Risk Parity Radio
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How to Adjust the Finance Cost of Margin to Reflect the Risk-Free Rate of Return at the Time of Borrowing
I don't think I've watched anything consistently on TV over 15 years. The last thing I actually watched or binge-watched was Black Mirror. And I find that I can't sit still and want to fast-forward things like I'm listening to a podcast. It's like I picked the wrong week when I'm fit in each.
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