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 13:10, tommyaberman
What is the smallest integer n such that n\sqrt{2} is greater than 20
Answers: 2
Mathematics, 21.06.2019 16:30, leenzazou98241
The average human heart beats 1.15 \cdot 10^51.15⋅10 5 1, point, 15, dot, 10, start superscript, 5, end superscript times per day. there are 3.65 \cdot 10^23.65⋅10 2 3, point, 65, dot, 10, start superscript, 2, end superscript days in one year. how many times does the heart beat in one year? write your answer in scientific notation, and round to one decimal place.
Answers: 1
Mathematics, 21.06.2019 16:40, shikiaanthony
You have 3 boxes, one "strawberries"; one "mentos" and one "mixed".but you know that all the labels are in incorrect order .how do you know witch is witch?
Answers: 1
Asset K has an expected return of 12 percent and a standard deviation of 30 percent. Asset L has an...
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