portfolio-theory

Installation
SKILL.md

Portfolio Theory

objective

Apply portfolio theory to derive robust allocation principles and theoretical risk-return diagnostics.

workflow

  1. define investable universe, return assumptions, and covariance model.
  2. derive efficient frontier and tangency portfolios under constraints.
  3. analyze diversification benefit and marginal risk contribution.
  4. compare equilibrium-implied returns to observed risk premia.
  5. release only when theory outputs are reconciled with implementation limits.

required diagnostics

  • efficient-frontier stability under parameter perturbation.
  • marginal contribution to risk by asset and factor.
  • concentration and diversification diagnostics.
  • implied-versus-realized risk-premium divergence.
  • constraint shadow-price interpretation.
Installs
1
First Seen
5 days ago
portfolio-theory — ghostof0days/codex-quant-skills