{"type":"rich","version":"1.0","provider_name":"Transistor","provider_url":"https://transistor.fm","author_name":"Moneywise","title":"Factor Investing Implementation: How To Build A Practical Multi-Factor Portfolio?","html":"<iframe width=\"100%\" height=\"180\" frameborder=\"no\" scrolling=\"no\" seamless src=\"https://share.transistor.fm/e/ff6d26b8\"></iframe>","width":"100%","height":180,"duration":532,"description":"Still confused about how multi-factor portfolios work in practice?In this finale episode of Moneywise, we move from concepts to understanding real-world application, and explore the practical aspects of multi-factor model portfolio management. We explain how different factors can be combined into a structured investment framework through a step-by-step explanation.In this episode, we break down:• How multi-factor portfolios are structured in practice• The role of multi-factor model portfolio management in balancing different market behaviours• How momentum and size factors are used within investment frameworks• Common mistakes seen in factor-based investing approaches• How factor-based approaches can be relevant in mutual fund investing discussionsThis episode is designed to help viewers understand how factor-based ideas translate into real-world portfolio frameworks, especially for those looking to move beyond single-factor thinking.This content is for educational purposes only and should not be considered investment advice or a recommendation to buy or sell any securities or adopt any investment strategy.Mutual Fund investments are subject to market risks, read all scheme related documents carefully.","thumbnail_url":"https://img.transistorcdn.com/K5mOnqA3wDq3b4Anu37bDVdhUYeTBqj4SdymaHb-Rnk/rs:fill:0:0:1/w:400/h:400/q:60/mb:500000/aHR0cHM6Ly9pbWct/dXBsb2FkLXByb2R1/Y3Rpb24udHJhbnNp/c3Rvci5mbS83ZjBh/MDRiMzQ3ZjllZmRl/YmNiZWJlNjAzYzk5/MTg1Yy5qcGc.webp","thumbnail_width":300,"thumbnail_height":300}