A note on calculating portfolio variance with squares and rectangles
Year of publication: |
2019
|
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Authors: | Arnold, Tom |
Published in: |
Journal of financial education. - San José, Calif. : Univ., ISSN 0093-3961, ZDB-ID 785385-3. - Vol. 45.2019, 1, p. 88-93
|
Subject: | Portfolio variance | variance-covariance matrix | Portfolio-Management | Portfolio selection | Varianzanalyse | Analysis of variance | Schätztheorie | Estimation theory | Volatilität | Volatility |
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