8 – L3 13 Summary V1

In this lesson, we learned how to calculate the expected return and variance of a portfolio risky assets. We study the properties of all possible portfolios of risky assets, and what happens when a risk-free asset is added. What you learn in this lesson is essential foundational knowledge. Once you understand it, you’ll be ready to learn how to obtain the best possible risk return balance from your portfolio, which is what we’ll study next.

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