haftjnd85691 haftjnd85691
  • 21-11-2017
  • Business
contestada

The measure of risk most often associated with the markowitz portfolio model is the

Respuesta :

nobillionaireNobley
nobillionaireNobley nobillionaireNobley
  • 02-12-2017
The measure of risk most often associated with the Markowitz portfolio model is the portfolio variance.

Portfolio variance
is the measurement of how the actual returns of a group of securities making up a portfolio fluctuate. Portfolio variance looks at the standard deviation of each security in the portfolio as well as how those individual securities correlate with the others in the portfolio.
Answer Link

Otras preguntas

what connections can be made to the colonists' demands in the declaration of independence? (please help me ;-; )
Please Help! I'm stuck
20 Points! What are Jay Gatsby’s traits and conflicts from The Great Gatsby?
which methods are used for making salts name them and give examples????
Marlena places a square rug on her living room floor, which is also a square. What area of her floor is NOT covered by the rug? A. 9 square ft B. 12 square ft C
simplify: 3x(x^2 + 4x - 5)
You just bought a new car from a dealership that sells cars no older than 2015. Consider the relationship to be the same age." The relation is "same age and th
Which of the following arguments are valid? Explain your reasoning a) I have a student in my class who is getting an A. Therefore, John, a student in my class
Write a program that prints all the numbers from 0 to 6 except 3 and 6. Expected output: 0 1 2 4 5
name three powers that the constitution reserves for the national government​