subject
Business, 23.03.2021 06:00 karreemgrant2

Portfolio Returns i. stock has mean of 8% and stdev of 20%; ii bond has mean of 6% and stdev of 15%; iii correlation b/w stock and bond of -0.3; iv. Risk free rate for cash lending and borrowing is at 1%. a. What is the mean and stdev of a portfolio of that is 60% in stock and 40% in bond (3 points)

ansver
Answers: 2

Other questions on the subject: Business

image
Business, 22.06.2019 16:00, ella3714
Three pounds of material a are required for each unit produced. the company has a policy of maintaining a stock of material a on hand at the end of each quarter equal to 30% of the next quarter's production needs for material a. a total of 35,000 pounds of material a are on hand to start the year. budgeted purchases of material a for the second quarter would be:
Answers: 1
image
Business, 22.06.2019 17:00, ocean11618
Oliver is the vice president of production at his company and has been managing the launch of new software systems. he worked with a team of individuals who were tasked to create awareness about a specific product and also to approach potential purchasers of the product. which department managers were part of oliver’s team?
Answers: 3
image
Business, 23.06.2019 05:10, ana2896
Databases, though on the internet, only
Answers: 1
image
Business, 23.06.2019 14:30, CrownedQueen
When partners own different portions of the business, the terms should be stated clearly in what document? the articles of incorporation the executive summary the business summary the partnership agreement
Answers: 1
You know the right answer?
Portfolio Returns i. stock has mean of 8% and stdev of 20%; ii bond has mean of 6% and stdev of 15%;...

Questions in other subjects:

Konu
Mathematics, 26.11.2019 02:31
Konu
Mathematics, 26.11.2019 02:31
Konu
Mathematics, 26.11.2019 02:31
Konu
Physics, 26.11.2019 02:31