porteføljenivå
Porteføljenivå refers to the overall risk, return, and diversification characteristics of a collection of investments, rather than the individual assets within it. It represents the aggregated performance and attributes of a portfolio as a whole, providing a macro-level view for investors and financial managers. Analyzing a portfolio at this level allows for strategic decision-making regarding asset allocation, risk management, and overall investment objectives.
Key aspects considered at the porteføljenivå include total return, volatility or standard deviation, Sharpe ratio, correlation
Portfolio level analysis is a fundamental component of modern portfolio theory, emphasizing that the combined performance