
MI221: High Returns from Low Risk Investing w/ Pim van Vliet
The Intrinsic Value Podcast - The Investor’s Podcast Network
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Low Volatility Strategy - How to Build a Multi-Factor Approach
Fam and french popularize their five factor model, which includes market risk, a relative price size, profitability, investment. The outlook for theat tends to be somewhat weaker after an extreme good decade fuelled by ultra louis monetary policy. But i'm just wondering which factors do you think will perform best going forward? And then the last factores, lofal will discuss a bit more about that.
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