Stocks A and B have the following historical returns:
Year | Stock A's Returns, rA | Stock B's Returns, rB | ||
2014 | (22.20 | %) | (16.50 | %) |
2015 | 26.75 | 17.90 | ||
2016 | 14.00 | 36.90 | ||
2017 | (3.25 | ) | (14.60 | ) |
2018 | 31.75 | 23.35 |
Stock A: %
Stock B: %
Year | Portfolio |
2014 | % |
2015 | % |
2016 | % |
2017 | % |
2018 | % |
What would the average return on the portfolio have been during this period? Round your answer to two decimal places.
%
Stock A | Stock B | Portfolio | |
Standard Deviation | % | % | % |
Stock A | Stock B | Portfolio | |
CV |
-Select-Stock AStock BPortfolioItem 15
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