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Review Papers | Data & Knowledge Engineering | India | Volume 13 Issue 3, March 2024 | Popularity: 5.7 / 10
Advancing Portfolio Management: Integrating Cryptocurrencies, ESG, and AI into Modern Portfolio Optimization
Sandeep Patil, V Vamshi, Nachiket Pachchhapur, Harshavardhan More, Kshitija Kasar
Abstract: Portfolio optimization is the art and science of constructing investment portfolios to strike a balance between risk and return. Traditional models, like Modern Portfolio Theory (MPT) and the Capital Asset Pricing Model (CAPM), have long served as the foundation for portfolio management. However, these methods often struggle to account for the intricacies of real financial markets. This study explores cutting-edge portfolio optimization techniques, incorporating unconventional assets such as cryptocurrencies and ESG investments to bolster diversification. Leveraging machine learning and artificial intelligence, we aim to improve asset selection, risk assessment, and allocation, accommodating the dynamic and non-linear nature of markets. Furthermore, we evaluate how these models perform in various market conditions through empirical analyses of historical data. Our findings indicate that adopting a more adaptable portfolio optimization framework can help investors navigate changing market dynamics more effectively, ultimately achieving a more efficient risk-return trade-off. These insights are invaluable for both individual and institutional investors, enabling them to construct portfolios that adapt to evolving market realities while optimizing wealth preservation and growth. In essence, this research contributes to the ongoing discourse on portfolio optimization, offering potential enhancements for investment strategies in today?s financial landscape.
Keywords: portfolio optimization, cryptocurrencies, ESG investments, machine learning, market conditions
Edition: Volume 13 Issue 3, March 2024
Pages: 550 - 555
DOI: https://www.doi.org/10.21275/SR24305145529
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