Excel Statistics 61: Stock Expected Return & Standard Deviation (Probability)

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111.6 هزار بار بازدید - 15 سال پیش - Download Excel File:
Download Excel File: people.highline.edu/mgirvin/AllClasses/210M/Conten… Download pdf notes: people.highline.edu/mgirvin/AllClasses/210M/Conten… Finance Stock example using Mean and Standard Deviation for a Discrete Probability Distributions. SUMPRODUCT function to calculate Mean and Standard Deviation for a portfolio of stocks.
15 سال پیش در تاریخ 1388/04/22 منتشر شده است.
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