Mathematics, 06.03.2020 00:49 genyjoannerubiera
Asset K has an expected return of 12 percent and a standard deviation of 30 percent. Asset L has an expected return of 10 percent and a standard deviation of 15 percent. The correlation between the assets is 0.36. What are the expected return and standard deviation of the minimum variance portfolio?
Answers: 1
Mathematics, 21.06.2019 14:30
Part of the total score for each program is the sum of five program component scores. on the free program, the sum of these five program component scores is multiplied by a factor of 2.0. yuzuru hanyu, of japan, earned scores of 9.07, 8.96, 8.89, 9.21, and 9.36 for the program components portion of his free program. how many total points did he receive for this portion?
Answers: 1
Mathematics, 21.06.2019 23:00
According to the general equation for conditional probability if p(anb)=3/7 and p(b)=7/8 what is p(a i b)
Answers: 1
Mathematics, 21.06.2019 23:00
Events a and b are independent. the probability of a occurring is 2/5. the probability of b occurring is 1/4. what is p(a and b)?
Answers: 2
Asset K has an expected return of 12 percent and a standard deviation of 30 percent. Asset L has an...
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