Today I give you a deep dive into the famous Wall Street terms “Alpha” and “Beta”. These measures of risk and return are a staple in any portfolio manager’s toolbox. After today’s lesson, you are going to feel much more comfortable when researching public companies and getting a sense for the general risk and volatility of the company.
Have ideas for a future episode? Send in an email or tweet @MainStMoney to have your idea as a future show!
My Usual Links
Website: www.MainStFinance.org
Show Email address: Mainstfinance@gmail.com
Twitter Account: @MainStMoney
YouTube Channel: https://www.youtube.com/channel/UCxWzLF_ZCgeDJ6PcIovg9ww
51 - The Efficient Market Hypothesis
50 - Inflation Worries and How to Prepare with Brian Dress From Left Brain Wealth Management
49 - An Introduction to Inflation
48 -The Flavors of Financial Independence
47 - How to Establish Your Credit
46 - Authorized Users
45 - Tax Brackets
44 - An Introduction to Credit Reports and Credit Scores
43 - To Pay off Debt or To Invest?
42 - Wall Street vs. Main Street: Game Stop Edition
41 - Should You Save for Your Retirement or Save for Your Kid's College?
40 - The Best Debt Paydown Strategies
39 - Capital Gains vs. Dividends
38 - Should You Cosign a Loan?
37 - Budgeting from Zero with Jim Miller
36 - Agency Theory with John Stoj from Verbatim Financial
35 - Selling A Business with CEO Jonathan Krueger, CEPA
34 - Book Review: Napkin Finance by Tina Hay
33 - The Mindset of Budgeting with Jared from JRod Money
32 - An Introduction to Real Estate Investing with Lane Kawaoka from SimplePassiveCashflow.com
Create your
podcast in
minutes
It is Free
U.S Property Podcast
Aligned Money Show
Dubai Property Podcast
The Ramsey Show
The Clark Howard Podcast