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Enrich Your Future 01: The Determinants of the Risk and Return of Stocks and Bonds

My Worst Investment Ever Podcast

CHAPTER

Five-Factor Model of Investing in Stocks and Bonds

The chapter explores the relationship between a company's cost of capital, investment decisions, and potential returns for investors, using examples like Google and Nvidia. It delves into the impact of factors like size, profitability, and asset growth on investment decisions, and discusses how different factors such as size, value, momentum, investment, and profitability can affect the returns in small versus large companies. Practical advice on investing in market ETFs and funds, the construction of ETFs and funds, and the differences between long short factor funds and long-only funds are also covered in the discussion.

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