The goal of portfolio theory is to optimally allocate your investments between different assets. Macroaxis Wealth Management Toolset is a easy to use set of modules that will allow you to make this allocation by optimizing the trade-off between your risk and return constrains. Using our Portfolio Optimizer or Efficient Frontier as well as available market browsers you can quickly optimize your portfolio against you personal risk and return preference.
How Macroaxis can help me to optimize my portfolio?
Modified on: Wed, 1 Oct, 2014 at 12:03 PM
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