hello guys, I have an assignment to form portfolio by using single index model. there I need to calculate expected return and standard deviation of market index(in my case, FTSE 100) could you please help me to find it?
ps. I don't want you to do my assignment for me, it is really small part of my work and I have tried a lot to find it. Little bit of help would be so nice
thank's in advance
Submitted April 09, 2016 at 05:15PM by gbossbaby http://ift.tt/20qGKcY
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