Calculating Expected Portfolio Returns and Portfolio Variances

FinanceKid
FinanceKid
305.1 هزار بار بازدید - 8 سال پیش - In today’s video, we learn
In today’s video, we learn how to calculate a portfolio’s return and variance. We go through four different examples and then I provide a homework example for you guys to work on. Comment and share your answers below.

Please like and subscribe to my channel for more content every week. If you have any questions, please comment below.

For those who may be interested in finance and investing, I suggest you check out my Seeking Alpha profile where I write about the market and different investment opportunities. I conduct a full analysis on companies and countries while also commenting on relevant news stories.
http://seekingalpha.com/author/robert...
8 سال پیش در تاریخ 1395/11/03 منتشر شده است.
305,173 بـار بازدید شده
... بیشتر