The Standard for Portfolio Management – Fourth Edition has been updated to best reflect the current state of portfolio management. It describe the principles that drive accepted good portfolio management practices in today’s organizations. It also expands the description of portfolio management to reflect its relation to organizational project management and the organization.
对于书中的产能与能力管理,风险管理两个部分我觉得还是比较有趣的。前者凸显了“trade off”的价值,而后者则是展现了文化、个人经验对风险决策的影响。结合现在的AI时代,我们有许多决策是在AI辅助下进行的,这让我不禁联想,其中有多少风险是被AI放大了的。这篇论文:《Biased echoes: Large language models reinforce investment biases and increase portfolio risks of private investors》一定程度上佐证了我的观点。