A portfolio has an annual variance of 1064 what is the


A portfolio has an annual variance of .1064. What is the standard deviation over a two-month period?

Solution Preview :

Prepared by a verified Expert
Finance Basics: A portfolio has an annual variance of 1064 what is the
Reference No:- TGS01510822

Now Priced at $10 (50% Discount)

Recommended (90%)

Rated (4.3/5)