4.2. The expected return and the standard deviation for a portfolio of securities. Some empirical evidence

View Syllabus


5 (7 ratings)
  • 5 stars
From the lesson
Risk and Return – From Basics to Reality

Taught By

  • Konstantin Kontor

    Konstantin Kontor

    Director and Professor of Finance and Strategy

Explore our Catalog

Join for free and get personalized recommendations, updates and offers.