What are the boundaries for the expected return of a portfolio?
Question:
Expected Return
The expected return is the profit or loss an investor anticipates on an investment that has known or anticipated rates of return (RoR). It is calculated by multiplying potential outcomes by the chances of them occurring and then totaling these...
Fantastic news! We've Found the answer you've been seeking!
Step by Step Answer:
Answer rating: 66% (12 reviews)
The expected return for a portfolio must be betw...View the full answer
Answered By
Hemstone Ouma
"Hi there! My name is Hemstone Ouma and I am a computer scientist with a strong background in hands-on experience skills such as programming, sofware development and testing to name just a few. I have a degree in computer science from Dedan Kimathi University of Technology and a Masters degree from the University of Nairobi in Business Education. I have spent the past 6 years working in the field, gaining a wide range of skills and knowledge. In my current role as a programmer, I have had the opportunity to work on a variety of projects and have developed a strong understanding of several programming languages such as python, java, C++, C# and Javascript.
In addition to my professional experience, I also have a passion for teaching and helping others to learn. I have experience as a tutor, both in a formal setting and on a one-on-one basis, and have a proven track record of helping students to succeed. I believe that with the right guidance and support, anyone can learn and excel in computer science.
I am excited to bring my skills and experience to a new opportunity and am always looking for ways to make an impact and grow as a professional. I am confident that my hands-on experience as a computer scientist and tutor make me a strong candidate for any role and I am excited to see where my career will take me next.
5.00+
8+ Reviews
22+ Question Solved
Related Book For
Question Posted:
Students also viewed these Accounting questions
-
What are the boundaries of a firm? What determines the extent of vertical boundaries vertical integration? What determine the extent of horizontal integration scope? Use a cost benefit analysis to...
-
What information do you need to compute the expected return of a portfolio?
-
There are two ways to calculate the expected return of a portfolio: either calculate the expected return using the value and dividend stream of the portfolio as a whole, or calculate the weighted...
-
Calculate the component of v = ( 2, 1/2, 3) along w = (1, 2, 2).
-
Roberto has received various gifts over the years. He has decided to dispose of the following assets he received as gifts: a. In 1951, he received land worth $32,000. The donor's adjusted basis was...
-
Let gGDPt denote the annual percentage change in gross domestic product and let intt denote a short term interest rate. Suppose that gGDPt is related to interest rates by gGDPt = a0 + (0intt + (1...
-
Visit the website of one of the online marketing research firms (e.g., Toluna at us.toluna .com/default.aspx or www.toluna.com). Locate a survey administered currently at this site. Critically...
-
The following data were extracted from the income statement of Hestia Systems Inc.: a. Determine for each year (1) the inventory turnover and (2) the number of days' sales in inventory. Round to the...
-
What happens if a larger company uses multiple reports and multiple models / templates when the review and report data? What happens if there is a lack of consistency and uniformity within the...
-
Darwin Company manufactures only one product that it sells for $200 per unit. The company uses plantwide overhead cost allocation based on the number of units produced. It provided the following...
-
What does it mean to say that portfolio weights sum to 1.0 or 100 percent?
-
Many investors have known for years that they should not "put all of their eggs in one basket." How does the Markowitz analysis shed light on this old principle?
-
The management of Niagra National Bank is considering an investment in automatic teller machines. The machines would cost $124,200 and have a useful life of seven years. The bank's controller has...
-
Start walking from a standstill. Can you consider your body an isolated system?
-
A \(4.0-\mathrm{kg}\) rifle fires a \(10 \mathrm{~g}\) bullet at \(800 \mathrm{~m} / \mathrm{s}\). With what speed does the rifle recoil (move backward toward the shooter's shoulder)?
-
A fire hose sprays water against a burning building. The stream of water has cross-sectional area \(A\) and density \(ho\) and moves with speed \(v\) toward the building. Assume the water splatters...
-
A car collides with a telephone pole. Which of the following form(s) an isolated system: \((a)\) the car alone; \((b)\) the car and the pole; \((c)\) the car, the pole, and Earth?
-
A single-stage rocket is in deep space coasting at \(v_{\text {rocket }, \mathrm{i}}=2.0 \times 10^{3} \mathrm{~m} / \mathrm{s}\). It fires its engine, which has an exhaust speed of \(v_{\text...
-
The following items may contain errors in grammar, capitalization, punctuation, abbreviation, number style, word division, and vocabulary. Rewrite each sentence, correcting all errors. If a sentence...
-
The Taylor's series expansion for cosx about x = 0 is given by: where x is in radians. Write a user-defined function that determines cosx using Taylor's series expansion. For function name and...
-
What do semistrong market efficiency tests attempt to test for?
-
Vanguards Health Care Fund (VGHCX) outperformed Vanguards S&P 500 Index fund during the period 20002005, although it had a higher operating expense ratio. What is the reason for this outperformance?
-
Vanguards S&P 500 Index fund consistently outperforms Morgan Stanleys S&P 500 Index fund, although both hold the same portfolio of stocks. Ignoring sales charges, what is the obvious reason for the...
-
If f(x) = x-9 and g(x) = x + 3x, complete parts (a) (f+g)(x)= 2x+3x-9 (Simplify your answer. Do not factor.) (b) (f-g)(x)=-9-3x (Simplify your answer. Do not factor.) 3 (c) (f-g) (Simplify your...
-
Your portfolio which consists of 46% of stock J, and 54% of stock K. J has daily Standard Deviation 3% while K has daily Standard Deviation 4%. The correlation of two stocks is -0.6. What is the 1...
-
Add as indicated. Write all answers in lowest terms. 3 - + 2 X X-7 3X 2 = X-7 (Simplify your answer.)
Study smarter with the SolutionInn App