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Risk Parity Portfolio/Evidence
Method evidence record

Risk Parity Portfolio

Risk parity is a portfolio weighting model, formalised by Maillard, Roncalli and Teïletche (2010), in which every asset contributes an equal share of the total portfolio risk. It needs only the covariance (risk) structure of the assets and no forecast of expected returns, and it underpins Bridgewater's All Weather strategy.

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Source record

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

Risk Parity (Equal Risk Contribution) Portfolio Model
Taxonomic method record · regression-model / finance
  • Maillard, S., Roncalli, T. & Teïletche, J. (2010). The Properties of Equally Weighted Risk Contribution Portfolios. Journal of Portfolio Management, 36(4), 60–70. · DOI 10.3905/jpm.2010.36.4.060
  • Qian, E. (2005). Risk Parity Portfolios: Efficient Portfolios Through True Diversification. PanAgora Asset Management. · 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 familyBlack-Litterman Modelmachine-suggested · Relational suggestion, not evidence.Same method familyTail Risk Measuresmachine-suggested · Relational suggestion, not evidence.Same method familyValue at Riskmachine-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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