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ReSolve Riffs with Roni Israelov on Advanced Portfolio Strategies for Tax Efficiency, Credit Exposure, and Cash Flow Goals

Resolve Riffs Investment Podcast

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The Role of Monte Carlo in Asset Management

It's a Monte Carlo. It contemplates the variance around the mean, and then it incorporates that into the scoring system. We had contemplated the bootstrap, but we felt like we couldn't actually achieve the richness of what we needed in a bootstrap framework. But think about it like a root means squared error: If you got 90% of your desired cash flows over the whole simulation in a level way, your score would be 90. And if you got half the time, 100% and a half the time,. 80%,your score would be less than 90 because that is worse, because you have some bigger shortfalls.

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