Finding average return and standard deviation for portfolio


Assignment:

An investment portfolio has equal proportions invested in five stocks. The expected returns and standard deviations (both in percent per year) are (8, 3), (5, 2), (12, 8), (7, 9), (14, 15). What are average return and standard deviation for this portfolio?

Your answer must be typed, double-spaced, Times New Roman font (size 12), one-inch margins on all sides, APA format and also include references.

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Basic Statistics: Finding average return and standard deviation for portfolio
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