How to compute a portfolio expected return and volatility
Автор: Eric Kelley
Загружено: 2022-03-21
Просмотров: 9297
Описание:
I create a 2-stock portfolio. Then, using parameters from each stock, I compute the portfolio's expected return, variance, and standard deviation (volatility).
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I'm a Finance Professor at the University of Tennessee in Knoxville. For more information about my teaching and research, please visit my website.
https://sites.google.com/utk.edu/ekk/...
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