Investments, 11th Edition (exclude Access Card)
Investments, 11th Edition (exclude Access Card)
11th Edition
ISBN: 9781260201543
Author: Zvi Bodie Professor; Alex Kane; Alan J. Marcus Professor
Publisher: McGraw-Hill Education
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Chapter 6, Problem 8CP
Summary Introduction

To calculate: The expected return and its standard deviation based on the client’s portfolio.

Introduction:

Standard deviation on return: It is one of the measures which is applied to analyze the portfolio. It measures the actual amount from where the returns deviate from its mean.

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