plot a composition line for stocks j and K that contains all of the portfolios made of the two stocks. Label all axes
stock J expected return=15, standard deviation= 20
stock K expected return= 11, standard deviation=14
correlation coefficient is +1
PLEASE CLARIFY WHAT EXACTLY WE ARE LOOKING HERE WHEN WE SAY COMPOSITION LINE. I HAVE ALL THE INFORMATION HERE AND CAN PLOT EASILY BUT NEED TO KNOW WHAT IS ASKED FOR
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