- Joined
- 11/22/09
- Messages
- 2
- Points
- 11
Hi guys,
I have the following question below:
I can obtain the expected portfolio return and stdev of stock 2 easily. I seem to be stumped obtaining the return of stock 2.
I am thinking along the lines that this may have something to do with a conditional distribution between the two.
Any hints./tips would be greatly appreciated!!!
Thanks in advance for any feedback
I have the following question below:
I can obtain the expected portfolio return and stdev of stock 2 easily. I seem to be stumped obtaining the return of stock 2.
I am thinking along the lines that this may have something to do with a conditional distribution between the two.
Any hints./tips would be greatly appreciated!!!
Thanks in advance for any feedback