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A portfolio refers to a collection of investments, such as stocks, bonds, and other financial assets that are held by an individual or an entity such as a mutual fund or a hedge fund. A portfolio is constructed to achieve specific investment goals, such as generating income, capital appreciation, or hedging against risk. The composition of a portfolio is based on the investor’s risk tolerance, investment objectives, and time horizon. Portfolio management involves selecting and monitoring the mix of assets in a portfolio to achieve the desired returns while minimizing risk.

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