aktsiaportfelli
Aktsiaportfelli refers to a collection of equities—stocks or shares—held by an investor. The portfolio’s aim is to generate long-term capital appreciation and, in many cases, dividend income, while balancing risk through diversification and prudent risk management.
Composition and strategies typically include a mix of domestic and international stocks across sectors, geographic regions,
Construction and management involve defining objectives, time horizon, and risk tolerance, then setting target allocations within
Performance is typically measured by total return and risk-adjusted metrics such as the Sharpe ratio, with
In summary, an aktsiaportfelli is a structured collection of stocks managed to balance growth potential with