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Black-Litterman Model/Evidence
Method evidence record

Black-Litterman Model

The Black-Litterman model, introduced by Fischer Black and Robert Litterman in 1992, is a Bayesian portfolio allocation framework that blends market-equilibrium returns with an investor's own views to produce more stable, intuitive portfolios. It was designed to cure the extreme concentration and input sensitivity of classical Markowitz mean-variance optimisation.

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Source record

Citations copied verbatim from the method’s source record. No claim-level verification is inferred from them.

Black-Litterman Portfolio Allocation Model
Taxonomic method record · regression-model / finance
  • Black, F. & Litterman, R. (1992). Global Portfolio Optimization. Financial Analysts Journal, 48(5), 28-43. · DOI 10.2469/faj.v48.n5.28
  • He, G. & Litterman, R. (1999). The Intuition Behind Black-Litterman Model Portfolios. Goldman Sachs Investment Management Division. · URL
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Curated claims

Claims persisted in the evidence ledger, each with its own assessment.

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Related methods

Generated from the method graph and shown as machine-suggested relations — no evidence claim is inferred.

Same method familyHAR-RV Modelmachine-suggested · Relational suggestion, not evidence.Same method familyOLS Regressionmachine-suggested · Relational suggestion, not evidence.Same method familyPairs Tradingmachine-suggested · Relational suggestion, not evidence.Same method familyRisk Parity Portfoliomachine-suggested · Relational suggestion, not evidence.Same method familyTail Risk Measuresmachine-suggested · Relational suggestion, not evidence.

Evidence status

Sources recorded, not reviewed

Bibliographic sources are present. Claim-level evidence review has not been performed.

Sources

2 recorded citations, copied from the method source record.

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